2025-05-0477337.5 KB45页17
2025-05-047744.5 KB13页13
2025-05-047727.5 KB2页18
2025-05-057799.5 KB5页28
2025-05-057724 KB3页21
2025-05-037760 KB1页25
2025-05-047713.5 KB2页14
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... 2025-05-027628 KB3页38
2025-05-047619 KB1页22
2025-05-047627 KB4页43
2025-05-047637 KB3页26
2025-05-0476703.5 KB37页45
第33页工资预算大连华润啤酒有限公司单位:元工资总计一月二月三月四月五月六月七月八月九月十月十一月十二月公司办公室468,209.0039,054.0036,576.0037,181.0038,053.0039,614.0039,094.0040,870.00############38,737.00统计信息部217,079.0018,222.0016,447.0017,064.0017,615.0018,066.0018,066.0019,254.00############18,082.00技术开发部210,754.0015,204.0013,305.0013,721.0017,934.0018,384.0018,384.0019,568.00####... 2025-05-04761.89 MB116页16
2025-05-047625.5 KB3页15
2025-05-0476109 KB15页11
2025-05-057622.5 KB2页45
2025-05-027618.5 KB2页34
2025-05-0476168 KB20页41
2025-05-047523.5 KB1页37
2025-05-047526.5 KB2页16