




版權(quán)說明:本文檔由用戶提供并上傳,收益歸屬內(nèi)容提供方,若內(nèi)容存在侵權(quán),請進行舉報或認領
文檔簡介
1、1、依據(jù)中華人民共和國會計法、企業(yè)會計準則、股份公司會計制度制定本制度;2、本制度適用于xxxx各分子公司;3、為規(guī)范公司日常財務行為,發(fā)揮財務在公司經(jīng)營管理和提高經(jīng)濟效益中的作用,便于公司各部門及員工對公司財務部工作進行有效地監(jiān)督,同時進一步完善公司財務管理制度,維護公司及員工相關的合法權(quán)益,制定本制度;4、本制度的解釋權(quán)在xxxx財務中心。一、總原則1、公司財務實行“計劃”為特征的總經(jīng)理負責制:屬已經(jīng)總經(jīng)理審批的計劃內(nèi)的支付,由相關事業(yè)部總經(jīng)理的書面授權(quán),財務負責人監(jiān)核即可辦理;屬計劃外的,必須有公司總經(jīng)理的書面授權(quán)。2、嚴格執(zhí)行會計法和相關的財務會計制度,接受財政、稅務、審計等部門的檢查
2、、監(jiān)督,保證會計資料合法、真實、及時、準確、完整。二、財務工作崗位職責大區(qū)財務實行分級管理、分工負責的管理制度,各分公司財務人員接受本公司財務主管的領導,各財務主管對大區(qū)財務經(jīng)理負責,財務經(jīng)理對集團財務中心和大區(qū)總裁負責。財務人員設會計、出納崗位,實行崗位責任制,做到錢帳分開,各負其責。(一)財務經(jīng)理職責1、組建大區(qū)財務機構(gòu),對大區(qū)財務機構(gòu)和崗位設置、人員配備、核算組織2 、 貫徹國家財稅政策、程序等提出方案。同時負責選拔、培訓和考核財會人員。法規(guī),并結(jié)合公司具體情況建立規(guī)范的財務模式,指導建立健全相關財務核算制度,同時負責對公司內(nèi)部財務管理制度的執(zhí)行情況進行檢查和考核。3、進行成本費用預測、
3、計劃、控制、核算、分析和考核,監(jiān)督各部門降低消耗、節(jié)約費用、提高經(jīng)濟效益。4、其他相關工作。(二)財務主管職責1、負責管理公司的日常財務工作,直接對大區(qū)財務經(jīng)理負責,由大區(qū)財務經(jīng)理報集團財務中心及大區(qū)總裁任免。2、負責對本部門內(nèi)部的機構(gòu)設置、人員配備、選調(diào)聘用、晉升辭退等提出方案和意見。3、負責對本部門財務人員的管理、教育、培訓和考核。4、負責公司會計核算和財務管理制度的制定,推行會計電算化管理方式等。5、嚴格執(zhí)行國家財經(jīng)法規(guī)和公司各項制度,加強財務管理。6、參與公司各項資本經(jīng)營活動的預測、計劃、核算、分析決策和管理,做好對本部門工作的指導、監(jiān)督、檢查。7、組織指導編制財務收支計劃、財務預決算
4、,并監(jiān)督貫徹執(zhí)行;協(xié)助財務經(jīng)理對成本費用進行控制、分析及考核。8、負責公司資產(chǎn)管理,監(jiān)督其增減變化,負責盤盈盤虧、報廢清理、貨款結(jié)算、催收和處理工作。做到手續(xù)完備、數(shù)據(jù)準確、賬目清楚、處理及時。9、及時報送會計報表及相關信息資料,向大區(qū)財務經(jīng)理及分公司總經(jīng)理報告財務狀況及經(jīng)營成果,并接受監(jiān)督指導。10、負責監(jiān)管財務歷史資料、文件、憑證、報表的整理、收集和立卷歸檔工作,并按規(guī)定手續(xù)報請銷毀。11、參與價格及工資、獎金、福利政策的制定。12、完成領導交辦的其他工作。(三)會計職責1、按照國家會計制度的規(guī)定記賬、復帳、報賬,做到手續(xù)齊備、數(shù)字準確、賬目清楚、處理及時;2、發(fā)票開具和審核,各項業(yè)務款項
5、發(fā)生、回收的監(jiān)督,業(yè)務報表的整理、審核、匯總,業(yè)務合同執(zhí)行情況的監(jiān)督、保管及統(tǒng)計報表的填報;3、會計業(yè)務的核算,財務制度的監(jiān)督,會計檔案的保存和管理工作;4、完成部門主管或相關領導交辦的其他工作。(四)出納職責1、建立健全現(xiàn)金出納各種賬冊,嚴格審核現(xiàn)金收付憑證。2、嚴格執(zhí)行現(xiàn)金管理制度,不得坐支現(xiàn)金,不得白條抵庫。3、對每天發(fā)生的銀行和現(xiàn)金收支業(yè)務作到日清月結(jié),及時核對,保證帳實相符。4、每周末下班前報送資金周報表給大區(qū)財務經(jīng)理、總經(jīng)理及大區(qū)總裁。三、現(xiàn)金管理制度1、所有現(xiàn)金收支由公司出納負責。2、建立和健全現(xiàn)金日記帳簿,出納應根據(jù)審批無誤的收支憑單逐筆順序登記現(xiàn)金流水收支帳目,并每天結(jié)出余額
6、核對庫存。作到日清月結(jié),帳實相符。3、庫存現(xiàn)金超過3000元時必須存入銀行。4、出納收取現(xiàn)金時,須立即開具一式四聯(lián)的支票回收登記表,由繳款人在右下角簽名后,交繳款人、業(yè)務部門、出納、會計各留存一聯(lián)。5、任何現(xiàn)金支出必須按相關程序報批(詳見支出審批制度)。因出差或其他原因必須預支現(xiàn)金的,須填寫借款單,經(jīng)總經(jīng)理簽字批準,方可支出現(xiàn)金。借款人要在出差回來或借款后三天內(nèi)向出納還款或報銷(詳見差旅費報銷規(guī)定)。6、收支單據(jù)辦理完畢后出納須在審核無誤的收支憑單上簽章,并在原始單據(jù)上加蓋現(xiàn)金收、付訖章,防止重復報銷。四、支票管理1、支票的購買、填寫和保存由出納負責。2、建立和健全銀行存款日記帳簿,出納應根據(jù)
7、審批無誤的收支憑單,逐筆順序登記銀行流水收支帳目,并每天結(jié)出余額;每工作日結(jié)束后。3、出納收取支票時,須立即開具一式四聯(lián)的支票回收登記表,由繳款人在右下角簽名后,交繳款人、繳款部門、出納、會計各留存一聯(lián)。4、支票的使用必須填寫“支票領用單”,由經(jīng)辦人、部門經(jīng)理、財務主管(經(jīng)理)、總經(jīng)理(計劃外部分)簽字后出納方可開出。5、所開出支票必須封填收款單位名稱。6、所開支票必須由收取支票方在支票頭上簽收或蓋章。五、印鑒的保管1、銀行印鑒必須分人保管。2、財務專用章和總經(jīng)理印鑒分別由財務經(jīng)理和出納負責保管。簡單財務管理制度經(jīng)費支出由主要領導、分管領導按程序?qū)徟?。二、辦公用品的購買,原則上由各科室向辦公室
8、提出,經(jīng)主要領導同意后統(tǒng)一購買。三、工作人員因公臨時借款須填寫借款單,經(jīng)主要領導批準,事后須在10天內(nèi)報帳結(jié)清。公司內(nèi)部財務管理制度(草案)一、會計崗位職責1、貫徹執(zhí)行國家頒布的有關財務制度、嚴格按照會計法進行計賬、算賬、報賬,規(guī)定,嚴格財經(jīng)紀律,做到手續(xù)完備、內(nèi)容真實、數(shù)據(jù)準確、賬目清晰。2、負責編制公司年度財務計劃;編制月、季、年度會計報表及有關說明,每月10日前向公司領導及時、真實、準確地報送會計報表,完整地反映財務狀況,并按季度進行財務分析。3、責會計核算,特別對應收、應付等往來賬要及時清算和催收;定期對固定資產(chǎn)、低值易耗等財產(chǎn)物品進行盤點,做到賬帳相符,賬實相符,發(fā)現(xiàn)不符,必須查明情
9、況及時匯報。4、負責公司的資產(chǎn)管理和各項財產(chǎn)的登記、核對、抽查與調(diào)撥,按規(guī)定計算折舊費用,確保資產(chǎn)的資金來源。5、妥善保管會計憑證、會計賬本、會計報表等檔案資料。6、完成上級領導交辦的其它工作任務。二、出納崗位職責1、負責現(xiàn)金及銀行轉(zhuǎn)賬票據(jù)的收付,不得積壓,按時將現(xiàn)金送存銀行。2、嚴格遵守現(xiàn)金管理制度,庫存現(xiàn)金按規(guī)定限額執(zhí)行,不得挪用、不得以白條抵庫、不得坐支營業(yè)款。3、根據(jù)會計人員簽章的收、付款憑證,按款項的審核批準制度辦理收付。4、開據(jù)支票,辦理匯款時要按公司的財務管理制度辦妥有關手續(xù),不符合規(guī)定者予以退回。5、填制有關收入、支出的會計憑證、登記銀行存款、現(xiàn)金出納日記賬,保證賬款相符。6、
10、負責保管未簽發(fā)的支票,支票本及已簽發(fā)的支票存根聯(lián)。7、負責職工每月工資、獎金以及各種福利待遇的審核和發(fā)放。8、結(jié)合公司的業(yè)務實際情況,每月匯總收付款憑證并將憑證交會計登記明細賬。9、每月10日前,將上月銀行存款日記賬與銀行對賬單逐筆核對,編制銀行余額調(diào)節(jié)表。10、每月底將銀行存款余額、營業(yè)收入及本月、本年累計額報告總經(jīng)理及法人代表。11、妥善保管保險柜鑰匙,密碼不得泄露及外傳。12、完成上級領導交辦的其他工作。三、固定資產(chǎn)的管理規(guī)定1、公司的固定資產(chǎn),包括機器設備、車輛、家具、電器、其他設備等,其財務管理和計提折舊,由財務室負責。2、每年年終必須進行一次固定資產(chǎn)盤點,做到實物和賬表記錄相符,核
11、算資料準確。對固定資產(chǎn)遺失、損壞的,要查明原因,明確責任,做出適當處理。3、購置固定資產(chǎn),必須有經(jīng)批準的購置計劃;購置時,經(jīng)領導批準,可借用限額支票在計劃范圍內(nèi)使用。4、購置的固定資產(chǎn)報銷時按財務制度審批程序進行。四、印章使用的管理1、公司印章包括公章、財務專用章、法人代表章、合同章等。公章由行政管理部指定專人負責保管,財務專用章、法人代表章、合同章由財務室專人負責保管。2、保管人員必須堅守職責,未經(jīng)領導批準,不得將印章帶出辦公室,不得私用,不得委托他人代管。3、保持印章使用的嚴肅性。各類印章只限使用在正式公文、函件上,嚴禁在空白介紹信上蓋章。印章使用必須做到用章登記。五、公司員工差旅費的規(guī)定
12、1、職工因公出差,按財政部有關文件規(guī)定,一律乘座火車,可購硬臥車票。如因特殊情況需乘飛機者,必須報總經(jīng)理批準方可乘座,否則不予報銷。若需乘船可購四等艙船票。2、在途補助。乘座火車和輪船每人每天按20元補貼乘座長途汽車6小時及以上的,可按在途標準補貼20元。3、員工每人每天按80元標準住宿,出差住宿按天數(shù)計算;副總經(jīng)理以上實報實銷,所住賓館不得超過三星級。4、住勤伙食補貼,每人每天20元標準。5、市內(nèi)交通補貼,每人每天10元標準。6、公差人員報銷差旅費,必須在回公司五天內(nèi)辦理報銷手續(xù)、繳還預借差旅費,否則作為挪用公款處理。六、物資采購規(guī)定1、各部門根據(jù)每年物資的消耗率、損耗率進行預測,于每年十二
13、月中旬編制采購計劃和預算,報財務室審核。2、計劃外采購或臨時增加的項目,也要制定計劃或報財務室審核。3、財務室對各部門采購計劃和預算進行審核,經(jīng)審核的計劃交行政部門監(jiān)督實施。4、采購價值在500元以上的物品要有2人以上共同辦理;大宗用品或長期需用的物資,必須向3家以上供應商摸底詢價,并簽定供貨協(xié)議。5、計劃外和臨時少量急需品,需經(jīng)總經(jīng)理批準后,方可采購。6、采購人員采購物資付款,價值在500元以上的,使用轉(zhuǎn)賬支票或委托銀行付款;價值在500元以下的,可以支付現(xiàn)金。7、轉(zhuǎn)賬支票結(jié)賬一般由出納根據(jù)采購人提供的準確數(shù)字或單據(jù)填制轉(zhuǎn)賬支票。若由采購人領空白轉(zhuǎn)賬支票與對方結(jié)賬的,轉(zhuǎn)賬支票必須限額。8、物
14、資采購價值超過500元,賣方要求付現(xiàn)金的,必須由財務室審查,經(jīng)批準后,方可付款。七、公文及合同的管理規(guī)定1、以公司名義向外發(fā)送的正式文件需經(jīng)部門經(jīng)理審閱,總經(jīng)理簽發(fā)。2、以公司名義對內(nèi)、對外簽定的合同,統(tǒng)一由財務室負責辦理,并在辦理完畢后將原件分類存檔,以便隨時備查。八、財務審批、報銷規(guī)定1、公司各部門應根據(jù)工作需要,事先擬訂支出計劃,報總經(jīng)理同意后,再由經(jīng)辦人按規(guī)定辦理借支或報銷手續(xù)。2、公司員工報銷,需下列審批程序:經(jīng)辦人部門經(jīng)理簽字總經(jīng)理簽字出納付款。3、上述開支的必須支出,如果總經(jīng)理不在,需經(jīng)電話請示總經(jīng)理同意后,方可予以支出,待總經(jīng)理回到公司后再予補簽。4、員工個人因私借款一律不予批
15、準。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
溫馨提示
- 1. 本站所有資源如無特殊說明,都需要本地電腦安裝OFFICE2007和PDF閱讀器。圖紙軟件為CAD,CAXA,PROE,UG,SolidWorks等.壓縮文件請下載最新的WinRAR軟件解壓。
- 2. 本站的文檔不包含任何第三方提供的附件圖紙等,如果需要附件,請聯(lián)系上傳者。文件的所有權(quán)益歸上傳用戶所有。
- 3. 本站RAR壓縮包中若帶圖紙,網(wǎng)頁內(nèi)容里面會有圖紙預覽,若沒有圖紙預覽就沒有圖紙。
- 4. 未經(jīng)權(quán)益所有人同意不得將文件中的內(nèi)容挪作商業(yè)或盈利用途。
- 5. 人人文庫網(wǎng)僅提供信息存儲空間,僅對用戶上傳內(nèi)容的表現(xiàn)方式做保護處理,對用戶上傳分享的文檔內(nèi)容本身不做任何修改或編輯,并不能對任何下載內(nèi)容負責。
- 6. 下載文件中如有侵權(quán)或不適當內(nèi)容,請與我們聯(lián)系,我們立即糾正。
- 7. 本站不保證下載資源的準確性、安全性和完整性, 同時也不承擔用戶因使用這些下載資源對自己和他人造成任何形式的傷害或損失。
最新文檔
- 2020年全國生物學聯(lián)賽加試答案
- 河南省許平汝名校2025屆高三下學期二模試題 物理 含解析
- 品牌代理運營合同協(xié)議
- 榆次二手房買賣合同協(xié)議
- 2025借款合同優(yōu)于租賃合同
- 2025中型建筑承包合同范本
- 哈密供熱合同協(xié)議
- 品牌規(guī)劃咨詢合同協(xié)議
- 四川省南充市2025屆高三下學期4月三診試題 政治 含解析
- 2025版全面單價合同范本
- 監(jiān)理實施細則模板(信息化、軟件工程)
- 2025年春季學期形勢與政策第二講-中國經(jīng)濟行穩(wěn)致遠講稿
- 人教PEP版英語五年級下冊Recycle 1單元教學設計(2課時教案)
- 2025年中共涼山州委辦公室面向全州考調(diào)所屬事業(yè)單位工作人員高頻重點模擬試卷提升(共500題附帶答案詳解)
- 夏季貨車行車安全教育
- 【基礎卷】同步分層練習:五年級下冊語文第14課《刷子李》(含答案)
- 2025年山西焦煤集團有限責任公司招聘筆試參考題庫含答案解析
- 產(chǎn)后疼痛管理指南
- 環(huán)境生物學復習-段昌群-參考重點
- 第六屆“四川工匠杯”職業(yè)技能大賽(健康照護賽項)理論參考試題庫(含答案)
- DB2306-T 179-2023 林場森林火災隱患調(diào)查評估技術規(guī)程
評論
0/150
提交評論