มหาวิทยาลัยขอนแก่น |
รายงานยอดบัญชีแยกประเภททั่วไป(.......................) |
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แหล่งเงิน................................. |
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ณ. วันที่ 31
กรกฎาคม พ.ศ.2546 |
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ลำดับ |
รายการ |
ยอดคงเหลือยกมา |
รายการเปลี่ยนแปลงเดือนนี้ |
ยอดคงเหลือยกไป |
ที่ |
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เดบิต |
เครดิต |
เดบิต |
เครดิต |
เดบิต |
เครดิต |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
xx |
xxxxxxxxxxxxxxxxxxxxx |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
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999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
999,999,990.00 |
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