Enlace

Balance de Ejecuciòn Presupuestaria / Balance de Ejecución Presupuestaria Año 2026 · pdf · documento original ↗

Tabla 1 (página 1 · 89 filas)

USO EXCLUSIVO CONTRALORIA GENERAL DE LA REPUBLICA
DOCUMENTO CONTABLE N° :TIPO DE INFORME :
FECHA DE PROCESO :MONEDA DE REGISTRO :
PERIODO CONTABLE :CODIGO INSTITUCION :
CUENTASSALDO INICIAL DEL MESVARIACION DEL MESSALDOS FINAL DEL MES
CODIGODENOMINACIONDEUDORACREEDORDEBITOSCREDITOSDEUDORACREEDOR
111-00-00-000-000-000 MDISPONIBILIDADES E10,204,308,36106,606,773,09210,154,137,5066,656,943,9470
111-01-00-000-000-000 DCAJA663,840085,298,3673,473,835,29903,387,873,092
111-03-00-000-000-000 MBANCO DEL SISTEM10,203,644,52106,521,474,7256,680,302,20710,044,817,0390
114-00-00-000-000-000 MANTICIPOS Y APLICA6,777,274,856073,909,17339,862,3706,811,321,6590
114-03-00-000-000-000 MANTICIPOS A RENDI22,406,78005,575,871027,982,6510
114-05-00-000-000-000 MAPLICACIÓN DE FON6,320,048,488068,333,30206,388,381,7900
114-06-00-000-000-000 DANTICIPOS PREVISI15,004,58500015,004,5850
114-08-00-000-000-000 MOTROS DEUDORES417,537,547000417,537,5470
114-09-00-000-000-000 DTARJETAS DE CRÉDI2,277,4560039,862,370037,584,914
115-00-00-000-000-000 MDEUDORES PRESUP4,986,420,8080368,284,432368,316,2724,986,388,9680
115-05-00-000-000-000 MC X C TRANSFEREN00348,789,546348,789,54600
115-07-00-000-000-000 MC X C INGRESOS DE0010,656,46010,656,46000
115-08-00-000-000-000 MC X C OTROS INGRE024,853,86910,882,89712,673,555026,644,527
115-12-00-000-000-000 MC X C RECUPERACIÓ5,011,274,677001,098,0815,010,176,5960
116-00-00-000-000-000 MAJUSTES A DISPONI02,583,5170002,583,517
116-01-00-000-000-000 DDOCUMENTOS PRO02,583,5170002,583,517
121-00-00-000-000-000 MCUENTAS POR COB1,374,446,053010,996,9195,475,2901,379,967,6820
121-01-00-000-000-000 MDEUDORES1,368,412,551005,475,2901,362,937,2610
121-02-00-000-000-000 DDOCUMENTOS POR24,81800024,8180
121-03-00-000-000-000 DIVA - CRÉDITO FISCA6,008,684010,996,919017,005,6030
131-00-00-000-000-000 MEXISTENCIAS931,400,3580167,905,89901,099,306,2570
131-04-00-000-000-000 MEXISTENCIAS DE MA931,400,3580167,905,89901,099,306,2570
141-00-00-000-000-000 MBIENES DE USO DEP5,087,904,12705,859,99905,093,764,1260
141-01-00-000-000-000 MEDIFICACIONES1,938,806,8420001,938,806,8420
141-04-00-000-000-000 MMÁQUINAS Y EQUIP784,810,10104,989,9990789,800,1000
141-05-00-000-000-000 MVEHÍCULOS267,086,979000267,086,9790
141-06-00-000-000-000 MMUEBLES Y ENSERE1,148,858,4210870,00001,149,728,4210
141-07-00-000-000-000 MHERRAMIENTAS60,114,12600060,114,1260
141-08-00-000-000-000 MEQUIPOS COMPUTA888,227,658000888,227,6580
142-00-00-000-000-000 MBIENES NO DEPRECI2,170,557,6560002,170,557,6560
142-01-00-000-000-000 MTERRENOS2,170,557,6560002,170,557,6560
143-00-00-000-000-000 MINFRAESTRUCTURA58,762,81800058,762,8180
143-99-00-000-000-000 DOTROS BIENES DE I58,762,81800058,762,8180
149-00-00-000-000-000 MDEPRECIACIÓN ACU01,651,221,1720001,651,221,172
149-01-00-000-000-000 MDEPRECIACIÓN ACU033,347,49000033,347,490
149-04-00-000-000-000 MDEPRECIACIÓN ACU0336,721,180000336,721,180
149-05-00-000-000-000 MDEPRECIACIÓN ACU0164,804,480000164,804,480
149-06-00-000-000-000 MDEPRECIACIÓN ACU0624,386,639000624,386,639
149-07-00-000-000-000 MDEPRECIACIÓN ACU025,814,28500025,814,285
149-08-00-000-000-000 MDEPRECIACIÓN ACU0466,147,098000466,147,098
161-00-00-000-000-000 MCOSTOS DE INVERSI1,895,356,9730001,895,356,9730
161-02-00-000-000-000 MPROYECTOS1,895,356,9730001,895,356,9730
214-00-00-000-000-000 MDEPÓSITOS DE TER08,064,381,40673,793,143188,526,28308,179,114,546
214-05-00-000-000-000 MADMINISTRACIÓN D07,140,216,008081,781,15207,221,997,160
214-07-00-000-000-000 MRECAUDACIÓN DEL5,23100-1525,3830
214-09-00-000-000-000 MOTRAS OBLIGACION0215,067,808000215,067,808
214-10-00-000-000-000 MRETENCIONES PREV0411,192,299000411,192,299
214-11-00-000-000-000 MRETENCIONES TRIB073,485,67173,793,143106,745,2830106,437,811
214-12-00-000-000-000 MRETENCIONES VOLU0224,515,523000224,515,523
214-13-00-000-000-000 DRETENCIONES JUDI90,67200090,6720
215-00-00-000-000-000 MACREEDORES PRES0533,695,7983,631,568,1183,653,980,2320556,107,912
215-21-00-000-000-000 MC X P GASTOS EN P019,614,8652,866,402,7062,855,905,76809,117,927
215-22-00-000-000-000 MC X P BIENES Y SER0479,860,241697,307,010712,588,9910495,142,222
215-23-00-000-000-000 MC X P PRESTACIONE0025,987,68425,987,68400
215-24-00-000-000-000 MC X P TRANSFEREN06,605,45212,938,26722,274,132015,941,317
215-26-00-000-000-000 MC X P OTROS GAST0023,756,95823,777,724020,766
215-29-00-000-000-000 MC X P ADQUISICIÓN02,720,1775,175,4939,339,61606,884,300
215-34-00-000-000-000 MC X P SERVICIO DE L024,895,06304,106,317029,001,380
216-00-00-000-000-000 MAJUSTES A DISPONI028,091,05200028,091,052
216-01-00-000-000-000 DDOCUMENTOS CAD028,091,05200028,091,052
221-00-00-000-000-000 MCUENTAS POR PAG10,754001,677,02301,666,269
221-03-00-000-000-000 DIVA - DÉBITO FISCAL10,754001,677,02301,666,269
224-00-00-000-000-000 MPROVISIONES070,000,00000070,000,000
224-05-00-000-000-000 DPROVISIONES POR J063,000,00000063,000,000
224-08-00-000-000-000 DPROVISIONES POR J07,000,0000007,000,000
311-00-00-000-000-000 MPATRIMONIO DEL G023,396,244,18300023,396,244,183
311-01-00-000-000-000 DPATRIMONIO INSTIT0176,997,971000176,997,971
311-02-00-000-000-000 DRESULTADOS ACUM023,219,246,21200023,219,246,212
431-00-00-000-000-000 MINGRESOS DE PRES0671,0000238,0000909,000
431-01-00-000-000-000 DVENTA DE SERVICIO0671,0000238,0000909,000
441-00-00-000-000-000 MTRANSFERENCIAS C02,987,687,3200348,789,54603,336,476,866
441-01-00-000-000-000 DTRANSFERENCIAS C04,109,8570004,109,857
441-03-00-000-000-000 DTRANSFERENCIAS C02,983,577,4630348,789,54603,332,367,009
452-00-00-000-000-000 MVENTA DE EXISTENC051,920,76508,826,437060,747,202
452-01-00-000-000-000 DVENTA DE EXISTENC051,920,76508,826,437060,747,202
461-00-00-000-000-000 MOTROS INGRESOS P01,526,27505,407,60706,933,882
461-04-00-000-000-000 DOTROS INGRESOS01,526,27505,407,60706,933,882
463-00-00-000-000-000 MAJUSTES0284,997,902000284,997,902
463-04-00-000-000-000 DREVERSIÓN DE DIS0285,013,100000285,013,100
463-72-00-000-000-000 DAJUSTE POR VARIAC15,19800015,1980
521-00-00-000-000-000 MPRESTACIONES PRE0025,987,684025,987,6840
521-04-00-000-000-000 DDESAHUCIOS E INDE0025,987,684025,987,6840
531-00-00-000-000-000 MGASTOS EN PERSO2,595,885,71102,856,934,83705,452,820,5480
531-01-00-000-000-000 DPERSONAL DE PLAN1,537,190,66801,706,930,99303,244,121,6610

Tabla 2 (página 2 · 44 filas)

USO EXCLUSIVO CONTRALORIA GENERAL DE LA REPUBLICA
DOCUMENTO CONTABLE N° :TIPO DE INFORME :
FECHA DE PROCESO :MONEDA DE REGISTRO :
PERIODO CONTABLE :CODIGO INSTITUCION :
CUENTASSALDO INICIAL DEL MESVARIACION DEL MESSALDOS FINAL DEL MES
CODIGODENOMINACIONDEUDORACREEDORDEBITOSCREDITOSDEUDORACREEDOR
531-02-00-000-000-000 DPERSONAL A CONTR851,362,2200957,280,82901,808,643,0490
531-03-00-000-000-000 DOTRAS REMUNERAC207,332,8230191,693,9460399,026,7690
531-04-00-000-000-000 DOTROS GASTOS EN001,029,06901,029,0690
532-00-00-000-000-000 MBIENES Y SERVICIO926,270,8020573,705,92636,540,1361,463,436,5920
532-01-00-000-000-000 DALIMENTOS Y BEBID6,772,16805,780,000012,552,1680
532-02-00-000-000-000 DTEXTILES, VESTUAR694,722000694,7220
532-03-00-000-000-000 DCOMBUSTIBLES Y L20,000,00000020,000,0000
532-04-00-000-000-000 DMATERIALES DE US476,169,2050102,055,61228,334,644549,890,1730
532-05-00-000-000-000 DSERVICIOS BÁSICOS46,788,05305,049,330051,837,3830
532-06-00-000-000-000 DMANTENIMIENTO Y34,569,292010,523,158045,092,4500
532-07-00-000-000-000 DPUBLICIDAD Y DIFUS9,543,16205,071,661014,614,8230
532-08-00-000-000-000 DSERVICIOS GENERA209,457,225057,314,1070266,771,3320
532-09-00-000-000-000 DARRIENDOS21,849,709026,831,2758,205,49240,475,4920
532-11-00-000-000-000 DSERVICIOS TÉCNICO93,912,4180358,493,6660452,406,0840
532-12-00-000-000-000 DOTROS GASTOS EN6,514,84802,587,11709,101,9650
533-00-00-000-000-000 MGASTOS FINANCIER004,106,31704,106,3170
533-03-00-000-000-000 DOTROS GASTOS FIN004,106,31704,106,3170
541-00-00-000-000-000 MTRANSFERENCIAS C11,420,543023,334,2072,089,14432,665,6060
541-01-00-000-000-000 DTRANSFERENCIAS C11,420,543023,334,2072,089,14432,665,6060
552-00-00-000-000-000 MCOSTO DE VENTA D51,920,61600051,920,6160
552-01-00-000-000-000 DCOSTO DE VENTA D51,920,61600051,920,6160
561-00-00-000-000-000 MOTROS GASTOS PA504,146023,777,724024,281,8700
561-01-00-000-000-000 DDEVOLUCIONES504,146023,777,724024,281,8700
563-00-00-000-000-000 MAMORTIZACIONES Y575,808000575,8080
563-50-00-000-000-000 DDISMINUCIÓN EN EL575,808000575,8080
921-00-00-000-000-000 MADQUISICIONES0033,666,67533,666,67500
921-01-00-000-000-000 DDEBE - GARANTIAS110,225,853000110,225,8530
921-02-00-000-000-000 DHABER - RESPONSA0110,225,853000110,225,853
921-03-00-000-000-000 DDEBE - GARANTIAS1,730,435,173032,157,0001,509,6751,761,082,4980
921-04-00-000-000-000 DHABER - RESPONSA01,730,435,1731,509,67532,157,00001,761,082,498
923-00-00-000-000-000 MGARANTÍAS POR CO007,279,9037,279,90300
923-01-00-000-000-000 DDEBE - GARANTÍAS1,259,147,30807,279,90301,266,427,2110
923-02-00-000-000-000 DHABER - RESPONSA01,259,147,30807,279,90301,266,427,211
928-00-00-000-000-000 MDETRIMENTO DE BIE203,492000203,4920
928-01-00-000-000-000 DDEBE - DETRIMENTO26,238,25200026,238,2520
928-02-00-000-000-000 DHABER - RESPONSA026,034,76000026,034,760
929-00-00-000-000-000 MBIENES DEL PATRIM0203,492000203,492
929-02-00-000-000-000 DHABER - RESPONSA0203,492000203,492
TOTAL40,224,031,94640,224,031,94614,489,928,51914,859,713,79443,821,495,82844,191,281,103