2025-05-0412349 KB7页19
2025-05-045482 KB50页40
2025-05-04111183 KB39页15
2025-05-0416319 KB1页19
2025-05-0496162 KB6页50
2025-05-0417851 KB8页49
2025-05-047034.5 KB4页36
2025-05-04192214 KB6页27
2025-05-0414084.5 KB13页45
2025-05-0497125 KB28页36
2025-05-04111354.5 KB17页40
2025-05-04156511.5 KB18页13
2025-05-0482273.5 KB3页26
2025-05-0411634 KB3页31
2025-05-0411846.5 KB7页26
2025-05-0419524 KB1页47
2025-05-0411216 KB2页27
预留编码:编制部门编制日期预算期间数目来源数目来源期初余额预计收入预计支出A-1C-1A-3D-3B-1B-4E-1财务费用小计预计本期融资预计归还贷款预计应付票据F-2审批制表预算现金平衡表(H-1)第张,共张货币资金余额表预计本期销售现金收入¥121,297,411预计本期采购现金支出¥60,742,790预计本期销售费用现金支出¥37,841,452预计本期管理费用现金支出¥2,630,265预计本期直接人工现金支出¥963,745预计本期制造费用现金支出¥171,7... 2025-05-04100105.5 KB13页18
2025-05-04113205.5 KB50页14
2025-05-045023.5 KB3页38