索引号
11511103MB15925976/2020-01622
主题分类
发布机构
嘉陵区人民政府办公室
成文日期
2020-07-08

2019年区乡两级财政决算

时间:2020-07-08 | 来源:嘉陵区人民政府
       收入支出决算总表       
              财决01表
编制单位:四川省南充市嘉陵区2019年度部门决算汇总    2019年度      金额单位:元
收入支出
项目行次年初预算数调整预算数决算数项目(按功能分类)行次年初预算数调整预算数决算数项目(按支出性质和经济分类)行次年初预算数调整预算数决算数
栏次 123栏次 456栏次 789
一、一般公共预算财政拨款收入11,936,238,574.544,393,227,748.594,392,594,439.83一、一般公共服务支出31459,684,015.27864,795,314.77690,938,502.08一、基本支出561,814,305,743.742,425,586,174.742,265,210,881.00
二、政府性基金预算财政拨款收入2601,922,602.38962,445,817.00962,445,817.00二、外交支出320.000.000.00      人员经费571,407,293,085.511,826,145,358.861,782,355,490.06
三、上级补助收入30.000.000.00三、国防支出330.003,147,333.173,147,333.17      日常公用经费58407,012,658.23599,440,815.88482,855,390.94
四、事业收入4226,259,612.94261,442,525.88228,811,569.52四、公共安全支出34159,592,123.41237,842,418.07191,385,390.81二、项目支出591,929,330,287.224,619,963,108.843,282,737,477.50
五、经营收入50.000.000.00五、教育支出35814,561,358.21839,630,291.36820,510,086.40    其中:基本建设类项目6096,896,071.06596,658,561.81523,510,012.63
六、附属单位上缴收入60.000.000.00六、科学技术支出367,424,012.928,356,095.928,097,181.47三、上缴上级支出610.000.000.00
七、其他收入7258,716,354.90707,934,305.91757,581,583.76七、文化旅游体育与传媒支出3764,660,129.7169,926,131.7633,562,112.77四、经营支出620.000.000.00
 8   八、社会保障和就业支出38257,728,284.89578,851,128.22481,514,006.25五、对附属单位补助支出630.000.000.00
 9   九、卫生健康支出39430,911,632.06675,691,594.20506,783,485.17 64   
 10   十、节能环保支出4025,978,300.63164,594,775.33150,717,020.14 65   
 11   十一、城乡社区支出41820,810,703.711,561,537,590.001,307,929,731.82经济分类支出合计665,547,948,358.50
 12   十二、农林水支出42213,891,033.411,040,325,149.31841,171,244.53一、工资福利支出671,698,078,882.43
 13   十三、交通运输支出4339,469,115.3056,857,767.3375,975,330.05二、商品和服务支出68874,925,528.33
 14   十四、资源勘探信息等支出4449,085,320.4493,124,000.4255,997,870.52三、对个人和家庭的补助69696,971,656.72
 15   十五、商业服务业等支出455,827,675.2244,228,180.8926,437,176.55四、债务利息及费用支出700.00
 16   十六、金融支出460.000.000.00五、资本性支出(基本建设)71146,310,830.93
 17   十七、援助其他地区支出470.000.000.00六、资本性支出721,918,507,974.75
 18   十八、自然资源海洋气象等支出4822,833,727.006,818,524.006,827,524.00七、对企业补助(基本建设)730.00
 19   十九、住房保障支出49249,168,105.44648,794,707.35215,726,590.35八、对企业补助74213,153,485.34
 20   二十、粮油物资储备支出504,396,084.1318,845,328.0712,494,714.10九、对社会保障基金补助750.00
 21   二十一、灾害防治及应急管理支出5110,257,732.0117,769,276.2111,193,858.32十、其他支出760.00
 22   二十二、其他支出52107,356,677.20113,943,677.20107,069,200.00 77   
 23   二十三、债务还本支出530.00470,000.00470,000.00 78   
 24   二十四、债务付息支出540.000.000.00 79   
 25    55    80   
本年收入合计263,023,137,144.766,325,050,397.386,341,433,410.11本年支出合计813,743,636,030.967,045,549,283.585,547,948,358.50
    用事业基金弥补收支差额270.000.000.00    结余分配824,761,434.03
    年初结转和结余28720,498,886.20720,498,886.20720,498,886.20    年末结转和结余830.000.001,509,222,503.78
 29    84   
总计303,743,636,030.967,045,549,283.587,061,932,296.31总计853,743,636,030.967,045,549,283.587,061,932,296.31
注:本套决算报表中刷绿色单元格为自动取数生成,不需人工录入数据。          

 

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