| 月份支出计划表 |
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| 学校:(盖章) 一实中 2014年10月31日 |
| 资 金 来 源 |
计 划 支 出 来 源 数 |
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合计 |
上月收支结余 |
本月公用经费 |
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本月预算外收入 |
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803285.11 |
体质仪质保2640 |
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| 本月计划支出项目 |
计划支出总合计 |
552765.04 |
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商品和服务支出 |
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0 |
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办公费 |
11376.6 |
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书报杂志费 |
2367.8 |
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印刷费 |
58847.96 |
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水费 |
869 |
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电费 |
4657.8 |
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邮电费 |
667.44 |
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取暖费 |
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交通费 |
907 |
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物业管理费 |
3630 |
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差旅费 |
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维修(护)费 |
18184.6 |
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劳保用品 |
4680 |
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安全专项经费 |
9065 |
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专用材料费 |
14071 |
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劳务费 |
3900 |
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工会经费 |
1992 |
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福利费 |
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招待费 |
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绩效工资 |
382250 |
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其他商品和服务支出 |
2635 |
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0 |
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对个人的补助支出 |
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生活补助 |
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医疗费 |
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助学金 |
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奖励金 |
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0 |
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基本建设支出 |
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房屋建筑物购建 |
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办公设备购置 |
1500 |
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专用设备购置 |
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交通工具购置 |
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基础设施建设 |
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付质保金 |
25856 |
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还欠款 |
5307.84 |
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其他资本性支出 |
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往来款项支出 |
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| 余额:253160.07 |
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