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项目名称12/31/2002流动资产现金29,913.44银行存款68,649,098.07其中:自有资金存款198,491.60经济业务客户人民币存款68,450,606.47清算备付金15,526,260.86其中:公司自有备付金59,820.66经济业务客户人民币备付金15,466,440.20交易保证金950,000.00应收款项50,840,500.53减:坏账准备254,202.50应收款项净额50,586,298.03待摊费用131,788.09流动资产合计135,873,358.49长期投资长期股权投资2,549,905.79长期债权投资235,869.5... 2025-05-04153602.5 KB118页22
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金融企业资产评估结果汇总简表资产占有单位名称:陕西开源证券经纪有限责任公司资产项目账面原值调整后账面值评估价值增减值ABCD=C-B流动资产113,587.3413,587.3413,596.819.47其中:货币资金26,867.906,867.906,867.90-清算备付金31,552.631,552.631,552.63-保证金495.0095.0095.00-应收账款净额55,058.635,058.635,072.8614.23待摊费用613.1813.188.42-4.76长期资产73,670.213,670.213,667.79-2.42其中:中长期贷款8-长期投资... 2025-05-04153108.5 KB27页21
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行政干部部门办公费用预算表序号经费类别第二季度假期第二学期45678910111211人员工资63,70063,70063,70063,70063,70063,70063,70063,70063,70063,7002电话费3低值易耗品4差旅费5交通费6业务招待费7报刊订购费8办公设施购置费:0000000000电脑、打印机等电话机文件柜饮水机其他9其他不可预见费用10小计63,70063,70063,70063,70063,70063,70063,70063,70063,70063,700备注:其中:办公桌椅1、本表单由各个部门填制本部门发生的办... 2025-05-02152164.5 KB30页45