科 目 及 摘 要
金 額
單位:新臺幣元
小 計
合 計
總 計
經費類現金出納表
行政院公共工程委員會
中華民國 97 年度
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一、收 項
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(一)上期結存
0
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(二)本期收入
3,335,976,278
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1. 212000-3 預計支用數(國庫已撥款部分)
3,335,976,278
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3,335,976,278
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收入數
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本機關經費預算部分
3,335,976,278
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收 項 總 計
3,335,976,278
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二、付 項
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(一)本期支出
3,335,976,278
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1. 213000-9 經費支出
3,335,976,278
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3,335,976,278
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支付數
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本機關經費預算部分
3,335,976,278
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(二)本期結存
0
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付 項 總 計
3,335,976,278
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