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资产负债表编制单位:时间:单位:资产期初数期末数负债及净资产期初数期末数流动资产:负债:现金4,922,855.85借入款项银行存款726,178.63应付及暂存款1,596,623.623,055,683.00对外投资应缴税金应收及暂付款负债合计1,596,623.623,055,683.00预付工程款材料长期待摊费用2,093,650.20净资产:流动资产合计0.007,742,684.68实收资本361,448.0023,891,643.00学校发展基金固定资产:事业结余527,335.55固定资产原值58,052.00928,3... 2025-05-027528 KB3页38
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