State of Texas Cash Activity (Cash Drilldown)
Texas Comptroller of Public Accounts
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Activity by Object
Agency 347 - Texas Public Finance Authority
Fiscal Year 2024
September 1, 2023 - December 30, 2023
= Comptroller Manual of Account details
= Amounts for all fiscal years
Object
Revenue
Expenditures
Net Activity
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3744 - Sale of Public Building Bonds
205,885,000.00
0.00
205,885,000.00
3765 - Interagency Sale of Supplies/Equipment/Services
337.54
0.00
337.54
3807 - Issuance of Commercial Paper
124,000,000.00
0.00
124,000,000.00
3851 - Interest on State Deposits and Treasury Investments -- General, Non-Program
6,977,517.53
0.00
6,977,517.53
3972 - Other Cash Transfers Between Funds or Accounts
364,510,885.08
0.00
364,510,885.08
3973 - Other Cash Transfers Within Fund or Account, Between Agencies
8,782,914.82
0.00
8,782,914.82
3986 - Unexpended Cash Balance Forward --Operating Transfers In
4,086,106.94
0.00
4,086,106.94
7001 - Salaries and Wages - Line Item Exempt Positions
0.00
66,666.64
(66,666.64)
7002 - Salaries and Wages - Classified and Non-Classified Permanent Full-Time Employees
0.00
434,418.16
(434,418.16)
7022 - Longevity Pay
0.00
5,180.00
(5,180.00)
7024 - Termination Pay -- Death Benefits
0.00
26,632.05
(26,632.05)
7025 - Compensatory or Salary Per Diem
0.00
300.00
(300.00)
7032 - Employees Retirement -- State Contribution
0.00
24,386.04
(24,386.04)
7033 - Employee Retirement -- Other Employment Expenses
0.00
23,771.57
(23,771.57)
7040 - Additional Payroll Retirement Contribution
0.00
2,505.44
(2,505.44)
7041 - Employee Insurance Payments - Employer Contribution
0.00
34,165.12
(34,165.12)
7042 - Payroll Health Insurance Contribution
0.00
3,430.00
(3,430.00)
7043 - F.I.C.A. Employer Matching Contributions
0.00
35,493.17
(35,493.17)
7050 - Benefit Replacement Pay
0.00
342.22
(342.22)
7101 - Travel In-State - Public Transportation Fares
0.00
371.25
(371.25)
7102 - Travel In-State - Mileage
0.00
1,956.84
(1,956.84)
7104 - Travel In-State - Actual Meal and Lodging Expenses-- Overnight Travel
0.00
1,194.66
(1,194.66)
7105 - Travel In-State - Incidental Expenses
0.00
789.08
(789.08)
7110 - Travel In-State - Board or Commission Member Meal and Lodging Expenses
0.00
2,620.70
(2,620.70)
7135 - Travel In-State - State Hotel Occupancy Tax Expense
0.00
38.94
(38.94)
7201 - Membership Dues
0.00
100.00
(100.00)
7203 - Registration Fees - Employee Attendance at Seminars and Conferences
0.00
3,400.00
(3,400.00)
7245 - Financial and Accounting Services
0.00
331,239.47
(331,239.47)
7258 - Legal Services
0.00
210,000.00
(210,000.00)
7273 - Reproduction and Printing Services
0.00
3,568.94
(3,568.94)
7276 - Communication Services
0.00
7,558.79
(7,558.79)
7285 - Computer Services-Statewide Technology Center
0.00
2,339.60
(2,339.60)
7286 - Freight/Delivery Service
0.00
428.81
(428.81)
7291 - Postal Services
0.00
464.00
(464.00)
7300 - Consumables
0.00
2,049.51
(2,049.51)
7334 - Personal Property - Furnishings, Equipment and Other - Expensed
0.00
4,338.07
(4,338.07)
7374 - Personal Property - Furnishings and Equipment - Controlled
0.00
169.99
(169.99)
7377 - Personal Property - Computer Equipment - Expensed
0.00
207.96
(207.96)
7378 - Personal Property - Computer Equipment - Controlled
0.00
8,790.35
(8,790.35)
7406 - Rental of Furnishings and Equipment
0.00
789.89
(789.89)
7516 - Telecommunications - Other Service Charges
0.00
455.88
(455.88)
7526 - Waste Disposal
0.00
40.00
(40.00)
7801 - Interest On Governmental and Fiduciary Long-Term Debt
0.00
44,819,986.79
(44,819,986.79)
7803 - Principal On State Bonds
0.00
228,170,731.51
(228,170,731.51)
7806 - Interest On Delayed Payments
0.00
60,226.78
(60,226.78)
7809 - Other Financing Fees
0.00
2.56
(2.56)
7810 - Defeasance of State Bonds - Refunded
0.00
1,897,085.73
(1,897,085.73)
7901 - Interagency Purchase of Goods and Services (Memo Only)
0.00
364,276.01
(364,276.01)
7947 - State Office of Risk Management Assessments
0.00
1,197.45
(1,197.45)
7961 - STS (Tex-An) Transfers to General Revenue
0.00
1,240.00
(1,240.00)
7962 - Capitol Complex Transfers to General Revenue
0.00
1,451.08
(1,451.08)
7972 - Other Cash Transfers Between Funds or Accounts
0.00
279,685,424.03
(279,685,424.03)
7973 - Other Cash Transfers Within Fund or Account, Between Agencies
0.00
343,000,000.00
(343,000,000.00)
7986 - Unexpended Cash Balance Forward-- Operating Transfers Out
0.00
4,086,106.94
(4,086,106.94)
Total
714,242,761.91
903,327,932.02
(189,085,170.11)