项目 | 期末余额 | 上年年末余额 |
销售折扣 | 1,497,390,343.58 | 1,455,832,831.71 |
预提费用 | 770,560,218.21 | 504,429,838.09 |
收取的保证金、押金及定金 | 550,432,008.39 | 544,055,936.52 |
防疫物资周转款 | 486,495,046.28 | 652,627,225.38 |
应付外单位款 | 220,824,750.86 | 597,085,560.22 |
应补缴已取得的出口退税款(注) | 92,184,150.67 | - |
暂估应付固定资产价款 | 71,251,574.59 | 51,792,676.21 |
关联方往来 | 28,695,033.97 | 28,280,422.08 |
暂收员工款 | 26,326,110.59 | 26,090,020.74 |
其他 | 87,019,192.42 | 78,363,666.80 |
合计 | 3,831,178,429.56 | 3,938,558,177.75 |
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