2025-05-04821.63 MB179页47
现金流量预测第二季度假期4567期初余额1,050,0001,139,850766,627347,045加:现金收入当期收入0400,0002,500,0007,500,000应收账款回收0000本期可动用现金合计1,050,0001,539,8503,266,6277,847,045减:现金支出人员工资、福利支出248,246256,946261,346289,646支付各部门办公费用274,765276,277209,237469,985支出基建支出0002,500,000支付固定资产97,14090,0001,473,00088,000支付招生费用90,00090,000976,0001,244,000支付到... 2025-05-028169.5 KB17页36
2025-05-0381171 KB21页41
2025-05-0481310 KB16页29
2025-05-048040 KB11页29
2025-05-0480172 KB15页20
2025-05-0480407.5 KB54页36
2025-05-047952 KB10页43
2025-05-0478117.5 KB23页36
2025-05-0478203.5 KB66页30
2025-05-047836 KB4页15
2025-05-037760 KB1页25
2025-05-047713.5 KB2页14
2025-05-027618.5 KB2页34
2025-05-0476168 KB20页41
2025-05-047522 KB3页21
2025-05-0475310 KB16页22
2025-05-047563.5 KB17页14
2025-05-047575.5 KB16页20
2025-05-0474738.5 KB85页11