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1、1、依据中华人民共和国会计法、企业会计准则、股份公司会计制度制定本制度;2、本制度适用于xxxx各分子公司;3、为规范公司日常财务行为,发挥财务在公司经营管理和提高经济效益中的作用,便于公司各部门及员工对公司财务部工作进行有效地监督,同时进一步完善公司财务管理制度,维护公司及员工相关的合法权益,制定本制度;4、本制度的解释权在xxxx财务中心。一、总原则1、公司财务实行“计划”为特征的总经理负责制:属已经总经理审批的计划内的支付,由相关事业部总经理的书面授权,财务负责人监核即可办理;属计划外的,必须有公司总经理的书面授权。2、严格执行会计法和相关的财务会计制度,接受财政、税务、审计等部门的检查
2、、监督,保证会计资料合法、真实、及时、准确、完整。二、财务工作岗位职责大区财务实行分级管理、分工负责的管理制度,各分公司财务人员接受本公司财务主管的领导,各财务主管对大区财务经理负责,财务经理对集团财务中心和大区总裁负责。财务人员设会计、出纳岗位,实行岗位责任制,做到钱帐分开,各负其责。(一)财务经理职责1、组建大区财务机构,对大区财务机构和岗位设置、人员配备、核算组织2 、 贯彻国家财税政策、程序等提出方案。同时负责选拔、培训和考核财会人员。法规,并结合公司具体情况建立规范的财务模式,指导建立健全相关财务核算制度,同时负责对公司内部财务管理制度的执行情况进行检查和考核。3、进行成本费用预测、
3、计划、控制、核算、分析和考核,监督各部门降低消耗、节约费用、提高经济效益。4、其他相关工作。(二)财务主管职责1、负责管理公司的日常财务工作,直接对大区财务经理负责,由大区财务经理报集团财务中心及大区总裁任免。2、负责对本部门内部的机构设置、人员配备、选调聘用、晋升辞退等提出方案和意见。3、负责对本部门财务人员的管理、教育、培训和考核。4、负责公司会计核算和财务管理制度的制定,推行会计电算化管理方式等。5、严格执行国家财经法规和公司各项制度,加强财务管理。6、参与公司各项资本经营活动的预测、计划、核算、分析决策和管理,做好对本部门工作的指导、监督、检查。7、组织指导编制财务收支计划、财务预决算
4、,并监督贯彻执行;协助财务经理对成本费用进行控制、分析及考核。8、负责公司资产管理,监督其增减变化,负责盘盈盘亏、报废清理、货款结算、催收和处理工作。做到手续完备、数据准确、账目清楚、处理及时。9、及时报送会计报表及相关信息资料,向大区财务经理及分公司总经理报告财务状况及经营成果,并接受监督指导。10、负责监管财务历史资料、文件、凭证、报表的整理、收集和立卷归档工作,并按规定手续报请销毁。11、参与价格及工资、奖金、福利政策的制定。12、完成领导交办的其他工作。(三)会计职责1、按照国家会计制度的规定记账、复帐、报账,做到手续齐备、数字准确、账目清楚、处理及时;2、发票开具和审核,各项业务款项
5、发生、回收的监督,业务报表的整理、审核、汇总,业务合同执行情况的监督、保管及统计报表的填报;3、会计业务的核算,财务制度的监督,会计档案的保存和管理工作;4、完成部门主管或相关领导交办的其他工作。(四)出纳职责1、建立健全现金出纳各种账册,严格审核现金收付凭证。2、严格执行现金管理制度,不得坐支现金,不得白条抵库。3、对每天发生的银行和现金收支业务作到日清月结,及时核对,保证帐实相符。4、每周末下班前报送资金周报表给大区财务经理、总经理及大区总裁。三、现金管理制度1、所有现金收支由公司出纳负责。2、建立和健全现金日记帐簿,出纳应根据审批无误的收支凭单逐笔顺序登记现金流水收支帐目,并每天结出余额
6、核对库存。作到日清月结,帐实相符。3、库存现金超过3000元时必须存入银行。4、出纳收取现金时,须立即开具一式四联的支票回收登记表,由缴款人在右下角签名后,交缴款人、业务部门、出纳、会计各留存一联。5、任何现金支出必须按相关程序报批(详见支出审批制度)。因出差或其他原因必须预支现金的,须填写借款单,经总经理签字批准,方可支出现金。借款人要在出差回来或借款后三天内向出纳还款或报销(详见差旅费报销规定)。6、收支单据办理完毕后出纳须在审核无误的收支凭单上签章,并在原始单据上加盖现金收、付讫章,防止重复报销。四、支票管理1、支票的购买、填写和保存由出纳负责。2、建立和健全银行存款日记帐簿,出纳应根据
7、审批无误的收支凭单,逐笔顺序登记银行流水收支帐目,并每天结出余额;每工作日结束后。3、出纳收取支票时,须立即开具一式四联的支票回收登记表,由缴款人在右下角签名后,交缴款人、缴款部门、出纳、会计各留存一联。4、支票的使用必须填写“支票领用单”,由经办人、部门经理、财务主管(经理)、总经理(计划外部分)签字后出纳方可开出。5、所开出支票必须封填收款单位名称。6、所开支票必须由收取支票方在支票头上签收或盖章。五、印鉴的保管1、银行印鉴必须分人保管。2、财务专用章和总经理印鉴分别由财务经理和出纳负责保管。简单财务管理制度经费支出由主要领导、分管领导按程序审批。二、办公用品的购买,原则上由各科室向办公室
8、提出,经主要领导同意后统一购买。三、工作人员因公临时借款须填写借款单,经主要领导批准,事后须在10天内报帐结清。公司内部财务管理制度(草案)一、会计岗位职责1、贯彻执行国家颁布的有关财务制度、严格按照会计法进行计账、算账、报账,规定,严格财经纪律,做到手续完备、内容真实、数据准确、账目清晰。2、负责编制公司年度财务计划;编制月、季、年度会计报表及有关说明,每月10日前向公司领导及时、真实、准确地报送会计报表,完整地反映财务状况,并按季度进行财务分析。3、责会计核算,特别对应收、应付等往来账要及时清算和催收;定期对固定资产、低值易耗等财产物品进行盘点,做到账帐相符,账实相符,发现不符,必须查明情
9、况及时汇报。4、负责公司的资产管理和各项财产的登记、核对、抽查与调拨,按规定计算折旧费用,确保资产的资金来源。5、妥善保管会计凭证、会计账本、会计报表等档案资料。6、完成上级领导交办的其它工作任务。二、出纳岗位职责1、负责现金及银行转账票据的收付,不得积压,按时将现金送存银行。2、严格遵守现金管理制度,库存现金按规定限额执行,不得挪用、不得以白条抵库、不得坐支营业款。3、根据会计人员签章的收、付款凭证,按款项的审核批准制度办理收付。4、开据支票,办理汇款时要按公司的财务管理制度办妥有关手续,不符合规定者予以退回。5、填制有关收入、支出的会计凭证、登记银行存款、现金出纳日记账,保证账款相符。6、
10、负责保管未签发的支票,支票本及已签发的支票存根联。7、负责职工每月工资、奖金以及各种福利待遇的审核和发放。8、结合公司的业务实际情况,每月汇总收付款凭证并将凭证交会计登记明细账。9、每月10日前,将上月银行存款日记账与银行对账单逐笔核对,编制银行余额调节表。10、每月底将银行存款余额、营业收入及本月、本年累计额报告总经理及法人代表。11、妥善保管保险柜钥匙,密码不得泄露及外传。12、完成上级领导交办的其他工作。三、固定资产的管理规定1、公司的固定资产,包括机器设备、车辆、家具、电器、其他设备等,其财务管理和计提折旧,由财务室负责。2、每年年终必须进行一次固定资产盘点,做到实物和账表记录相符,核
11、算资料准确。对固定资产遗失、损坏的,要查明原因,明确责任,做出适当处理。3、购置固定资产,必须有经批准的购置计划;购置时,经领导批准,可借用限额支票在计划范围内使用。4、购置的固定资产报销时按财务制度审批程序进行。四、印章使用的管理1、公司印章包括公章、财务专用章、法人代表章、合同章等。公章由行政管理部指定专人负责保管,财务专用章、法人代表章、合同章由财务室专人负责保管。2、保管人员必须坚守职责,未经领导批准,不得将印章带出办公室,不得私用,不得委托他人代管。3、保持印章使用的严肃性。各类印章只限使用在正式公文、函件上,严禁在空白介绍信上盖章。印章使用必须做到用章登记。五、公司员工差旅费的规定
12、1、职工因公出差,按财政部有关文件规定,一律乘座火车,可购硬卧车票。如因特殊情况需乘飞机者,必须报总经理批准方可乘座,否则不予报销。若需乘船可购四等舱船票。2、在途补助。乘座火车和轮船每人每天按20元补贴乘座长途汽车6小时及以上的,可按在途标准补贴20元。3、员工每人每天按80元标准住宿,出差住宿按天数计算;副总经理以上实报实销,所住宾馆不得超过三星级。4、住勤伙食补贴,每人每天20元标准。5、市内交通补贴,每人每天10元标准。6、公差人员报销差旅费,必须在回公司五天内办理报销手续、缴还预借差旅费,否则作为挪用公款处理。六、物资采购规定1、各部门根据每年物资的消耗率、损耗率进行预测,于每年十二
13、月中旬编制采购计划和预算,报财务室审核。2、计划外采购或临时增加的项目,也要制定计划或报财务室审核。3、财务室对各部门采购计划和预算进行审核,经审核的计划交行政部门监督实施。4、采购价值在500元以上的物品要有2人以上共同办理;大宗用品或长期需用的物资,必须向3家以上供应商摸底询价,并签定供货协议。5、计划外和临时少量急需品,需经总经理批准后,方可采购。6、采购人员采购物资付款,价值在500元以上的,使用转账支票或委托银行付款;价值在500元以下的,可以支付现金。7、转账支票结账一般由出纳根据采购人提供的准确数字或单据填制转账支票。若由采购人领空白转账支票与对方结账的,转账支票必须限额。8、物
14、资采购价值超过500元,卖方要求付现金的,必须由财务室审查,经批准后,方可付款。七、公文及合同的管理规定1、以公司名义向外发送的正式文件需经部门经理审阅,总经理签发。2、以公司名义对内、对外签定的合同,统一由财务室负责办理,并在办理完毕后将原件分类存档,以便随时备查。八、财务审批、报销规定1、公司各部门应根据工作需要,事先拟订支出计划,报总经理同意后,再由经办人按规定办理借支或报销手续。2、公司员工报销,需下列审批程序:经办人部门经理签字总经理签字出纳付款。3、上述开支的必须支出,如果总经理不在,需经电话请示总经理同意后,方可予以支出,待总经理回到公司后再予补签。4、员工个人因私借款一律不予批
15、准。One,thegeneral1,accordingtothe"accountinglawofthePeople'sRepublicofChinaand"accountingstandardforbusinessenterprises","thecorporationaccountingsystemareformulatedsystem;2,thissystemissuitableforXXXXeachmolecularcompany;3,toregulatethecompanydailyfinancialbehavior,financialm
16、anagementinthecompanyandtheroleofimprovetheeconomicbenefit,isadvantageousforthecompanydepartmentsandemployeestoeffectivelysupervisethefinancedepartmentofthefirm,andfurtherimprovethesystemoffinancialmanagement,safeguardthelegitimaterightsandinterestsofcompanyandemployeerelated,thissystemisformulated;
17、4,thepowerofinterpretationofthissysteminXXXXfinancialcenter.Thegeneralprincipleofa,1,thecompany'sfinancialpractice"plan"forthecharacteristicsofthegeneralmanagerresponsibilitysystem,isahasthegmapprovalplanstopay,inthewrittenauthorizationbytherelateddivisiongeneralmanagerandfinancialoffi
18、cersinspectnuclearcandealwith;Unplanned,musthavethecompanygeneralmanager'swrittenauthorization.2,strictlyimplementthe"accountinglaw"andrelatedfinancialandaccountingsystem,fiscal,tax,auditdepartmentstoacceptinspectionsandsupervision,ensurethataccountinginformationislawful,authentic,time
19、ly,accurateandcomplete.Second,thefinancialworkresponsibilityRegionalfinancialtothegradingmanagementanddivisionoflaborisresponsibleforthemanagementsystem,eachbranchcompanyfinancialpersonneltoacceptthecompanyfinancedirectorofleadership,thefinancedirectorisresponsiblefortheregionalfinancemanager,financ
20、ialmanagerisresponsibleforthegroupandregionalfinancialcenter.Financialpersonnelshallsetupaccounting,cashierjobs,implementsthejobresponsibility,dotheaccountmoneyseparate,individual.(a)thefinancialmanagerduties1) theformationofregionalfinancialinstitutions,theregionalfinancialinstitutionsandpostsettin
21、g,staffing,accountingorganizationalprocessessuchasschemeisputforward.Atthesametimeisresponsiblefortheselection,trainingandexaminationofaccountingpersonnel.2,implementthenationalfiscalandtaxationpolicies,lawsandregulations,combinedwiththecompanyspecificsituationtoestablishthestandardfinancialmodel,gu
22、idancetoestablishandperfecttherelevantfinancialaccountingsystem,andisresponsiblefortheimplementationofinternalfinancialmanagementsystemofthecompanyforinspectionandexamination.3,costforecast,plan,control,accounting,analysisandassessment,supervisiondepartmentstoreduceconsumption,savecostandimproveecon
23、omicbenefit.4,andotherrelatedwork.2) )thefinancialdirectorduties1,isresponsibleforthemanagementofthecompany'sdailyfinancialwork,directlyresponsiblefortheregionalfinancemanager,byregionalfinancemanagertogroupfinancialcenterandregionalPresident'sappointment.2,theagencyinchargeofthisdepartments
24、etup,staffingandtransferringemployment,dismissalpromotionplanandopinionsareputforward.3,responsibleforthedepartmentoffinancialpersonnelmanagement,education,trainingandexamination.4,responsibleforthecompany'saccountingandfinancialmanagementsystem,implementationofaccountingcomputerizationmanagemen
25、tway,etc.5,strictenforcementofnationalfinancialrulesandsystemofthecompany,tostrengthenthefinancialmanagement.6,involvedincapitaloperationactivitiesofforecasting,planning,accounting,analysis,decision-makingandmanagement,doagoodjobofthisdepartmentguidance,supervisionandinspection.7,organizationandguid
26、anceoffinancialrevenueandexpenditureplans,financialbudget,andsupervisetheimplementation;Assistfinancemanagertocontrolcost,analysisandevaluation.8,responsibleforthecompany'sassetsmanagement,supervisionanditschange,increaseordecreaseisresponsiblefortheinventorysurplusinventoryahortageandscrapclean
27、ing,payment,collectionandtreatmentwork.Doprocedurescomplete,dataisaccurate,clearaccounts,handleintime.9,timelysubmitaccountingstatementsandrelatedinformation,toregionalfinancemanagerandbranchgeneralmanagerreportsthefinancialpositionandoperatingresults,andacceptthesupervisionandguidance.10,responsibl
28、eforoverseeingfinancialhistorydata,documents,certificates,statementsofsorting,collectionandarchivesfilingwork,andtheformalitiesbytheregulationshallbedestroyed.11,participateinpricesandwages,bonuses,welfarepolicy.12,completeothertasksassignedbytheleadership.(3) theaccountingduties1, accordingtothereg
29、ulationofsystemofnationalaccountingbookkeeping,accounts,reimbursement,doformalitiescomplete,accurate,clearaccounts,timelyhandling;2,invoiceissuedandaudit,supervisionofthevariousbusinesspaymentoccurs,recycling,businessreports,audit,summary,thesupervisionoftheimplementationofbusinesscontract,keepingan
30、dstatisticalreports;3, accounting,businessaccounting,financialsystem,thesupervisionofthepreservationandmanagementofaccountingfiles;4,finishotherworkassignedbytheleadershipofthedepartmentmanagerorrelated.(4) cashierduties1,establishandperfectallkindsofbooksaboutcash,auditstrictlythevoucherofcashincom
31、eandcashexpense.2,strictlyimplementthesystemofcashmanagement,cash,abovetheshallnotpaybytheincomeshallnotbeiousforlibraries.3,everydayintheeventofbankandcashreceiptsandcashdisbursementsofabusinessdonissinmonthlystatement,checkintime,ensurethattheaccountfirm.4,everyweekendbeforecomingoffworktosubmitth
32、eweeklycashreporttoregionalfinancemanager,generalmanagerandPresident.Third,cashmanagementsystem1,allthecompanycashierisresponsibleforthecashreceiptsandcashdisbursements.2,establishandimprovethebookcashjournal,thecashiershallberegisteredaccordingtotheexaminationandapprovalandcorrectpaymentvoucherthat
33、weavesordercashflowbalanceofaccounts,andchecktheinventorybalanceeveryday.Donissinmonthlystatement,account.3,inventorymorethan3000yuanofcashmustbedepositedinthebank.4,cashiercash,shallbeimmediatelyissuedaquadrupleofrecyclingthecheckregistrationform",bythepaymentofsignaturesinthelowerrightcorner,
34、afterpaythepaymentofpeople,businessdepartment,cashierandaccountantretainedacouplet.5,theexaminationandapprovalofanycashpaymentsmustaccordingtorelatedprocedure(seespendingforexaminationandapprovalsystem).Forbusinessorforotherreasonsmustcashadvances,mustfillouttheborrowingform,approvedbythegeneralmana
35、gertosign,beforespendingthecash.Borrowersshouldbeinbusinesstriporborrowingwithinthreedaysafterthecashierreimbursementorsubmitanexpenseaccount(seetravelreimbursementregulations).6,paymentdocumentsarerequiredafterthecashiersignatureontheauditandcorrectpaymentvoucher,andaffixedwiththeoriginaldocumentsw
36、iththecashpaid,everychapter,preventrepeatedreimbursement.Fourth,checkmanagement1, checkthepurchase,filloutandsavethecashierisresponsibleforthe.2,establishandimprovethebankdepositjournal,book,cashiershouldbeaccordingtotheexaminationandapprovalandcorrectpaymentvoucher,weavesinordertoregisterbankaccoun
37、tsofwater,andbalanceeveryday;Aftertheendofeachday.3,cashier'scheque,shallbeimmediatelyissuedaquadrupleofrecyclingthecheckregistrationform",bythepaymentofsignaturesinthelowerrightcorner,afterpaythepaymentandpaymentdepartment,cashierandaccountantretainedacouplet.4,checktheuseofmustfillintheli
38、stofrecipients"check",bytheagent,thedepartmentmanager,directoroffinance(manager),generalmanager(unplanned)signafterthecashiercanleave.5,bywritingchecksmustfillinthenameofreceivingcompany.6,checkmustbemadebychequeinchecksignoraffixone'ssealonthehead.Five,thesignatureorsealofcustody1, ba
39、nk,thesignaturemustbekeptpointspeople.2,specialsealforfinanceandgeneralmanagerofsignaturebythefinancemanagerandcashierisresponsibleforthewarehousing,respectively.AsimplesystemoffinancialmanagementSpendingbythemainleadership,inchargeoftheleadershipinaccordancewiththeproceduresforexaminationandapprova
40、l.Second,thepurchaseofofficesupplies,inprincipleputforwardbyeachdepartmenttotheoffice,withtheapprovalofthemainleadersafterunifiedpurchase.Third,staffontemporaryloanshallfillouttheborrowingform,upontheapprovalofthemainleaders,latermustrenderanaccountsettlementwithin10days.Thecompanyinternalfinancialm
41、anagementsystem(draft)A,accountingresponsibility2, tocarryoutnationalpromulgatedbyrelevantfinancialsystem,instrictaccordancewiththe"accountinglaw"account,accounts,reimbursement,regulations,strictfinancialdiscipline,accomplishformalitiescomplete,real,exactdata,clearaccounts.3, responsiblefo
42、rpreparingthecompany'sannualfinancialplan;Preparethemonth,quarter,annualaccountingstatementsandtheexplanatory,10amonthtothecompanyleadershiphowever,accountingreporttimely,authentic,accurate,fullyreflectthefinancialposition,andquarterlyfinancialanalysis.4, businessaccounting,specialaccounttotimel
43、yliquidationofaccountsreceivableandpayableandcollection;Regularlyforafixedasset,low-valuepropertyitemssuchasinventory,dozhangaccount,accountisconsistent,find,mustfindoutthestatusreportintime.5, responsibleforthecompany'sassetmanagementandpropertyregistration,checkandspotchecksandtransfers,inacco
44、rdancewiththeprovisions,thecomputationofdepreciationcost,toensurethatthesourceofcapitalassets.6, properlykeepaccountingvouchers,accountbooks,accountingstatementsanddocuments.7, completeothertasksassignedbythesuperiors.Second,thecashierresponsibility1, responsibleforthereceiptandpaymentofcashandbankt
45、ransferpaper,shallnotbebacklog,cashdepositbankontime.2, strictlyabidebythecashmanagementsystemandstockcashquotaenforcementaccordingtoregulations,shallbeallowedtomisappropriate,thecashabovetheshallnotiousforlibraries,"paybytheincome.3, accordingtotheaccountingpersonnelshallbesignedandpaymentvouc
46、hers,accordingtothepaymentapprovalsystemtohandlethecash.4, accordingtothecheck,handleremittanceaccordingtocompletetheformalities,thecompany'sfinancialmanagementsystemisnotinconformitywiththestipulationsshallberefunded.5, inwhichtheincomeandexpenditureaccountingvouchers,registrationbankdeposits,c
47、ashjournalandensurethattheaccounts.6, isresponsibleforthewarehousing,notonthechequechequebookandithadissuedthecheckstubform.7, responsibleforworkermonthlysalary,bonusandallkindsofwelfarebenefitsandapproval.8, incombinationwiththepracticalsituationofthecompany'sbusiness,monthlysummaryvoucherandde
48、liverdocumentsregisteredsubsidiaryledgeraccounting.9, and10,amonthwillcheckbankdepositjournalandbankstatementlastmonththatweaves,preparethebankreconciliation.10, theendofeverymonththebankbalance,operatingincome,andthismonth,theaccumulativeamountofthecurrentyearreporttogeneralmanagerandlegalrepresent
49、ative.11, properlykeepsafekeys,passwordsorrevealandgaiden.12, completeotherworkassignedbythesuperiorleadership.Three,fixedassetsmanagementregulations1, thecompany'sfixedassets,includingmachineryandequipment,vehicles,furniture,appliancesandotherequipment,itsfinancialandtubeRichardanddepreciation,
50、shallbetheresponsibilityoftheaccountingoffice.2, theendofeachyear,mustcarryoutaninventoryoffixedassets,achievetheobjectsandzhangtablerecords,accountinginformationisaccurate.Forfixedassetsislost,damaged,tofindoutthereason,clearresponsibility,makeappropriatetreatment.3, purchaseoffixedassets,mustbeofa
51、napprovedpurchaseplan;Whenpurchase,upontheapprovaloftheleadership,canborrowlimitWithinthescopeoftheplantouse.4, purchaseoffixedassetstosubmitanexpenseaccountaccordingtothefinancialsystemofexaminationandapprovalprocedures.Four,sealsusemanagement1, thecompanysealincludingcompanyseal,financialsealandle
52、galrepresentativesealandcontractseal,etc.Sealdesignatedbytheadministrativedepartmentofpersonnelfortakingcareofandfinancialspecialsealandlegalrepresentativeseal,contractsealbytheaccountingofficeofpersonnelfortakingcareof.2, keepingpersonnelmuststicktowork,withouttheapprovaloftheleadershipthesealmustn
53、otbeoutoftheofficeandmaynotbeprivate,shallnotentrustotherescrow.3, maintaintheseriousnessofthesealuse.Allkindsofsealswillonlybeusedonofficialdocuments,correspondence,itisforbiddentostampontheblankletterofintroduction.Chapterwiththeuseofsealsmustberegistered.Fifth,theprovisionsofthecompanystafftravel
54、canbuyhardsleepertickets.Asaresultofspecialcircumstancesneedtofly,mustbesubmittedtothegeneralmanagerforapprovalFangKecheng,otherwisenotbereimbursed.Ifneedtotakeaboatcanbuyfourthclasstickets.2, intransit.Accordingto20yuanperpersonadaytaketrainsandshipsTakethebus6hoursormore,canaccordingtostandardintr
55、ansitallowanceis20yuan.3, accordingtothestandardof80yuanperpersonaday,staffaccommodation,travelaccommodationsaccordingtothenumberofdayscalculation;Deputygeneralmanagershouldbereimbursedwiththeabove,thehotelshallnotexceedthreestar.4, regularmealallowance,20yuanperpersonaday.5, thecitytrafficsubsidies
56、,10yuanperpersonperday.6, tolerancefortravelexpenses,whichmustbeinthecompanysubmitsanexpenseaccountformalitieswithinfivedays,wewilladvancetravel,otherwiseasembezzlement.Six,materialprocurementrules1, eachdepartmentaccordingtoconsumptionrateandlossrateofmaterialsfortheannualforecast,formulatepurchaseplanandbudgetinthemiddleofDecembereachyear,submittofinancialroom.2, unplannedpurchaseortemporaryincreaseproject,alsowanttoplan
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