2025年备用金借支明细财务报表 - Sheet1 Unnamed: 0 Unnamed: 1 备用金借支明细表账户名称:中国建设银行庐阳支行序号12345678910Unnamed: 2 日期2020-10-01 00:00:002020-10-02 00:00:002020-10-03 00:00:002020-10-04 00:00:002020-10-05 00:00:002020-10-06 00:00:002020-10-07 00:00:002020-10-08 00:00:002020-10-09 00:00:002020-10-10 00:00:00Unnamed: 3 借款说明参加A项目投标财务部举行第三季度会议去上海出差接待王总去参加中标会议公司第三季度文艺汇演员工福利礼品采购A项目招待费用去南京出差去上海出差Unnamed: 4 期初金额借款金额500600300400300200500200
备用金收入支出明细表-自动预警 - Sheet1 Unnamed: 0 Unnamed: 1 Unnamed: 2 备用金收入支出统计表-自动预警Unnamed: 3 1200期初金额日期2022-03-01 00:00:002022-03-02 00:00:002022-03-03 00:00:00Unnamed: 4 收入金额120015003500Unnamed: 5 6200收入金额日期2022-03-01 00:00:002022-03-02 00:00:002022-03-03 00:00:002022-03-04 00:00:002022-03-05 00:00:002022-03-06 00:00:002022-03-07 00:00:00Unnamed: 6 摘要支付A项目办公费用Y项目辅材结算款支付F项目车辆维修款O项目会议费用V项目餐费支付招聘会议费G项目会议费用Unnamed: 7 6500支出金额Unnamed: 8 支出金
2024年备用金收支汇总明细表 - Sheet1 备用金收支汇总明细表 编制单位:查询开始日期收入合计日期合计2019-05-05 00:00:002019-05-07 00:00:00Unnamed: 1 现金结余2000400400400400400400400400400400400400400400400400400400400400400400400400400400400400400400400400400400400400400Unnamed: 2 2019-05-01 00:00:002000项目借款还款凭证装订机费Unnamed: 3 查询截止日期支出合计收入20002000Unnamed: 4 支出16001600
2024备用金收支结余明细表excel表格 - Sheet2 Unnamed: 0 Unnamed: 1 备用金收支明细表日期2021-05-01 00:00:002021-05-02 00:00:002021-05-03 00:00:002021-05-04 00:00:002021-05-05 00:00:002021-05-06 00:00:002021-05-07 00:00:002021-05-08 00:00:002021-05-09 00:00:002021-05-10 00:00:002021-05-11 00:00:002021-05-12 00:00:002021-05-13 00:00:002021-05-14 00:00:002021-05-15 00:00:002021-05-16 00:00:00Unnamed: 2 结束日期2021-05-01 00:00:00存入项目备用金领用对应颜色部分报销回款差价补费展会用手提样品押金备用金领用备用金领用对应颜色部分报销回款差价
2024备用金收支明细表exce表格 - Sheet2 Unnamed: 0 Unnamed: 1 备用金收支明细表序号123456789101112131415161718Unnamed: 2 29031.4总存入金额日期2021-07-01 00:00:002021-07-02 00:00:002021-07-03 00:00:002021-07-04 00:00:002021-07-05 00:00:002021-07-06 00:00:002021-07-07 00:00:002021-07-08 00:00:002021-07-09 00:00:002021-07-10 00:00:002021-07-11 00:00:002021-07-12 00:00:002021-07-13 00:00:002021-07-14 00:00:002021-07-15 00:00:002021-07-16 00:00:002021-07-17 00:00:002021-07-18 00:00:00Unnamed: 3 存入项目备用金领用部分报销回款
2024备用金收支明细表excel表格 - sheet1 Unnamed: 0 Unnamed: 1 备用金收支明细表Unnamed: 2 收支概况期初余额本期支出本期收入期末余额支出报销情况已报销未报销Unnamed: 3 50000.0-11900.020689.058789.07400.04500.0Unnamed: 4 0.6218487394957980.378151260504202Unnamed: 5 Unnamed: 6 Unnamed: 7 序号12345678910111213141516171819202122232425262728293031323334353637383940
2025备用金支出台账登记表免费下载 - Sheet1 Unnamed: 0 Unnamed: 1 备用金支出台账登记表序号12345678910111213Unnamed: 2 期初日期期初余额日期2021-06-02 00:00:002021-06-03 00:00:002021-06-04 00:00:002021-06-05 00:00:002021-06-06 00:00:002021-06-07 00:00:002021-06-08 00:00:002021-06-09 00:00:002021-06-10 00:00:002021-06-11 00:00:002021-06-12 00:00:002021-06-13 00:00:002021-06-14 00:00:00Unnamed: 3 2021-06-01 00:00:0050000摘要购买端午节礼品租用和谐大厦广场支付临时工人工资xxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxxx
2024备用金支出登记表exce表格 - Sheet1 Unnamed: 0 Unnamed: 1 备用金支出登记表备用金期初金额日期2021-08-01 00:00:002021-08-02 00:00:002021-08-03 00:00:002021-08-04 00:00:002021-08-05 00:00:002021-08-06 00:00:002021-08-07 00:00:00Unnamed: 2 50000摘要临时支付停车款项支付项目部福利款项支付聚餐费用赔偿客户损失支付办公日常费用支付临时工费用支付项目部维修费Unnamed: 3 支出金额Unnamed: 4 12600支出项目项目A项目B项目C项目D项目A项目B项目CUnnamed: 5 结余金额支出金额2500120017002200150020001500Unnamed: 6 37400支出人Unnamed: 7 起止日期支付方2025备用金借支明细表格
2025备用金管理台账-可智能提醒免费下载 - Sheet1 Unnamed: 0 备用金管理台账 一、设定指标每人借款限额二、登记台账序号12345Unnamed: 2 记账月份6月7月8月8月8月Unnamed: 3 30000凭证号16789Unnamed: 4 借款时间2021-06-12 00:00:002021-07-23 00:00:002021-08-15 00:00:002021-08-15 00:00:002021-08-16 00:00:00Unnamed: 5 请提前借款人x小老陈老陈小陈小陈Unnamed: 6 7借款金额200020000300002000030000Unnamed: 7 天提醒我应还款日期 (自动计算)2021-07-12 00:00:002021-08-22 00:00:002021-09-14 00:00:002021-09-14 00:00:002021-09-......
2025备用金借款单免费下载 - 备用金借款单 Unnamed: 0 Unnamed: 1 Unnamed: 2 备用金借款单借款部门借款人借款事由分管领导财务领导总经理董事长备注Unnamed: 3 Unnamed: 4 借款日期借款金额Unnamed: 5 大写:小写:Unnamed: 6 贰佰贰拾贰万贰仟壹佰贰拾元整2222120使用说明
2025备用金收支管理表 - 模板页 Unnamed: 0 Unnamed: 1 借支记录 Debit record序号123456789101112Unnamed: 2 备用金收支管理表Petty cash management请输入员工姓名稻小壳3凭证号C-0001C-0002C-0003C-0004C-0005C-0006C-0007C-0008C-0009C-0010C-0011C-0012Unnamed: 3 借支人稻小壳1稻小壳2稻小壳3稻小壳3稻小壳5稻小壳1稻小壳2稻小壳3稻小壳3稻小壳5稻小壳1稻小壳2Unnamed: 4 Unnamed: 5 员工职务:借支上限:摘要预支差旅费预支差旅费预支差旅费预支差旅费预支差旅费预支差旅费预支差旅费预支差旅费预支差旅......
2025备用金登记表免费下载 - Sheet1 Unnamed: 0 备用金登记表 月度收支明细序号1234567891011121314151617181920212223242526272829303132Unnamed: 2 日期44317443184431844320443214432144322Unnamed: 3 凭证号001002003004005006Unnamed: 4 摘要期初余额朋友聚餐购买牛奶一箱购买猪肉生日红包购买鞋子购买服饰Unnamed: 5 收入500Unnamed: 6 支出120089......
2025备用金申请表免费下载 - 备用金申请表 Unnamed: 0 Unnamed: 1 备用金申请表申请部门: 申请日期:20**年**月**日 NO:项 目 指 标现存备用金核定指标额备用金差额申 请 金 额支 付 方 式备注与说明支票号码: 支票签收: 现金点收:领导意见申请人: 部门主管: 财 务: 经 理:Unnamed: 2 金额大写: 小写:( )现金支票 (
2025备用金核定表 - Sheet2 Unnamed: 0 Unnamed: 1 部门备用金核定审批表使用部门: 申请日期:20**年**月**日指 标 项 目原定项目现定项目领导 意见申请人: 部门主管: 财务部: 总经办:备注:1、部门备用金以不超过一周的现金使用量为准,特殊部门不能超过二周的现金使用量。2、周期指三天一周二周等,核定金额介于周期最大现金使用量与最低现金使用量之间。3、备用金应视同现金进行管理,核定金额应随着企业实际情况之变化而适时
2025年窗帘定制费用明细表 - Sheet1 窗帘定制费用明细表 客户:序号序号123456789101112窗帘杆及安装费窗帘杆(按米计算):安装费:总金额:金额大写:Unnamed: 1 类型窗帘窗帘窗帘窗帘窗帘帘头布Unnamed: 2 材质材质纯棉材质纯棉材质丝绸纯棉材质纯棉材质丝绸Unnamed: 3 色号色号374937494021374937494021总长:300Unnamed: 4 电话:运用区域主人房主人房客厅次卧次卧客厅16Unnamed: 5 定制规格高度(米)333.2330.6单价:10567.5210567.52Unnamed: 6 宽度(米)2.41.45.41.21.4450Unnamed: 7 地址:面积(平方米)7.24.217.283.64.22.4000000金额:Unnamed: 8 单价199199299199199200
2025年全年成本费用明细表 - Sheet1 Unnamed: 0 全年成本费用明细表 编制单位:序号1234567891011121314151617181920212223242526272829303132333435363738394041424344454647总 计Unnamed: 2 类别直接人工直接材料制造费用销售费用财务费Unnamed: 3 费用明细工资薪金奖金福利费社保费培训费招聘费工作服费材料费辅助材料费配件备品费机械使用费2025备用金借支明细表格
2025年公司费用支出明细表 - Sheet1 Unnamed: 0 Unnamed: 1 公司费用支出管理明细表差旅费29000.20863309352518日期2021-01-05 00:00:002021-01-06 00:00:002021-01-07 00:00:002021-01-08 00:00:002021-01-09 00:00:002021-01-10 00:00:002021-01-11 00:00:002021-01-12 00:00:002021-01-13 00:00:002021-01-14 00:00:00Unnamed: 2 电话费15000.107913669064748摘要去北京出差参加A项目投标12月份电话费用支出车辆加油费用购买办公用品费用购买纸巾招待A公司王总1季度销售部培训打印机维修费用去南京出差报销市内报销费用Unnamed: 3 交通费21000.151079136690647Unna
2025年客户订单登记明细表-查询明细 - Sheet1 Unnamed: 0 Unnamed: 1 客户订单登记明细表序号123Unnamed: 2 客户名称张三李四小王Unnamed: 3 下单日期2019-05-01 00:00:002019-05-06 00:00:002019-05-16 00:00:00Unnamed: 4 订单编号DF-9U897SD-23444BN-SFDDFUnnamed: 5 产品型号NIOJHJOJASDVVEJKMUMUYUnnamed: 6 客户查询产品名称水泥螺纹管沥青Unnamed: 7 客户名称张三数量2吨500米4吨Unnamed: 8 下单日期2019-05-01 00:00:00预估金额5600006000020000Unnamed: 9 订单编号DF-9U897交货日期2019-06-01 00:00:002019-07-01 00:00:002019-09-01 00:00:00Unnamed: 10 产品型号NIO
2025年产品物料清单明细表 - Sheet1 Unnamed: 0 Unnamed: 1 产品物料清单明细表项目名称序号123456Unnamed: 2 物料编码WL-001WL-002WL-003WL-004WL-005WL-006Unnamed: 3 高级高清投影仪设备物料名称光纤模块监控服务器硬盘户外设备箱小设备盒水晶头Unnamed: 4 规格型号规格1规格2规格3规格4规格5规格6Unnamed: 5 材质材质1材质2材质3材质4材质5材质6Unnamed: 6 规格型号单位台台个台盒批Unnamed: 7 用量123578Unnamed: 8 tyi-0jhg单价150260320180320550Unnamed: 9 金额15052096090022404400Unnamed: 10 合计金额生产性质外购外购外购自产外购外购Unnamed: 11 9170供
2025年个人投资理财明细表 - 个人投资理财明细表 个人投资理财明细表 序号1234567891011121314151617Unnamed: 1 投资理财信息理财项目银行定期存款基金项目1中国平安Unnamed: 2 理财类别固收类基金类股票类Unnamed: 3 风险等级★★★★★★Unnamed: 4 年化收益率0.0325————Unnamed: 5 本金金额500005000050000Unnamed: 6 投入日期2020-10-01 00:00:002020-10-01 00:00:002020-09-04 00:00:00Unnamed: 7 投资时长68天68天95天Unnamed: 8 期限(天)180————Unnamed: 9 到期日期2021-03-30 00:00:00————Unnamed: 10 投资收益信息预期收益801.369863013701————Unnamed: 11 累计收