资产流动资产:现金108.2092,047.1091,938.90银行存款81,058,177.1781,058,177.17自有存款434,017.79434,017.79其中:客户资金存款80,624,159.3880,624,159.38清算备付金812,004.42812,004.42其中:客户备付金812,004.42812,004.42交易保证金950,000.00950,000.00应收款项43,111,290.0079,300,109.3036,188,819.3079,300,109.30减:坏帐准备172,622.94172,622.94应收款项净额43,111,290.0079,127,486.3636,016,196.36代兑付债券... 2025-05-046423 KB4页48
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开源财源第一步:资产负债应收国债服400.00代兑付债券款-3,400.00应收其他单-3,719.00应付中行-757.00应付国债服务部838.00-3,319.00-3,319.00结果:资产负债资产负债应收国债服-438.00代兑付债券款-3,400.00应收开源438.00代兑付债券款应收其他单-3,719.00应付中行-757.00应收其他单3,719.00应付中行银行存款5,000.00应付财政厅银行存款1,996.50应付财源1,996.50应收开源1,996.50银行存款应收国债服2,615.00银行存款2,615.00代... 2025-05-0414118 KB2页48
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