State of Texas Cash Activity (Cash Drilldown)
Texas Comptroller of Public Accounts
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Activity by Object
Agency 529 - Health and Human Services Commission
Fiscal Year 2024
September 1, 2023 - December 30, 2023
= Comptroller Manual of Account details
= Amounts for all fiscal years
Object
Revenue
Expenditures
Net Activity
Download to Excel
3014 - Motor Vehicle Registration Fees
4,841.78
0.00
4,841.78
3026 - Voluntary Driver License Contribution for Blindness, Screening and Treatment
135,828.00
0.00
135,828.00
3041 - Voluntary Fees and Contributions - Local Funds
24,245.27
0.00
24,245.27
3103 - Limited Sales and Use Tax -- State
36,441.71
0.00
36,441.71
3105 - Discount for Sales Tax -- State Agencies and Higher Education
152.84
0.00
152.84
3180 - Health Regulation Fees
648,471.05
0.00
648,471.05
3321 - Oil Royalties from Other State Lands for State Departments, Boards, Agencies
909,761.42
0.00
909,761.42
3326 - Gas Royalties from Other State Lands for State Departments, Boards, Agencies
252,067.36
0.00
252,067.36
3550 - Federal Receipts Matched -- Health Programs
825,609.58
0.00
825,609.58
3551 - Federal Receipts Not Matched -- Health Programs
352,051,684.93
0.00
352,051,684.93
3557 - Health Care Facilities Fees
10,870,184.12
0.00
10,870,184.12
3560 - Medical Examination and Registration
54,810.58
0.00
54,810.58
3562 - Health Related Professional Fees
227,461.74
0.00
227,461.74
3564 - Disproportionate Share Revenues/State Hospitals
94,925,568.79
0.00
94,925,568.79
3565 - Vendor Drug Rebates, Medicaid Program - Supplemental
60,988,607.51
0.00
60,988,607.51
3568 - Disproportionate Share Revenues/Non-State Hospitals
170,575,361.08
0.00
170,575,361.08
3569 - Receipt of Federal/State Disproportionate Share and Upper Payment Limit Program Payments by State Hospitals
71,764,834.98
0.00
71,764,834.98
3588 - Transfers from Urban and Rural Hospitals for Medicaid Match (UC, UPL, STAR+PLUS, and DSRIP)
2,640,126,812.47
0.00
2,640,126,812.47
3591 - Transfers from State Hospitals/Agencies for Medicaid Match (UC, UPL, and DSRIP)
52,915,483.15
0.00
52,915,483.15
3595 - Medical Assistance Cost Recovery
84,991,794.49
0.00
84,991,794.49
3597 - WIC (Women, Infants, and Children Program) Rebates
71,126,542.91
0.00
71,126,542.91
3600 - Federal Receipts Matched -- Medicaid, TANF, Other Health Programs
11,940,686,501.79
0.00
11,940,686,501.79
3601 - Federal Receipts Not Matched -- Medicaid Standards/Mental Health
80,202,917.72
0.00
80,202,917.72
3602 - Earned Federal Funds-SNAP Recoupment
2,221,483.94
0.00
2,221,483.94
3603 - Reimbursement for Telecommunications Assistance, Distance Learning and Other Advanced Services
338,933.83
0.00
338,933.83
3606 - Support and Maintenance of Patients
9,941,240.76
0.00
9,941,240.76
3611 - Private Institutions License Fees
559,686.37
0.00
559,686.37
3628 - Dormitory, Cafeteria and Merchandise Sales
1,098,905.00
0.00
1,098,905.00
3632 - Elderly Housing Set-Aside
269,276.00
0.00
269,276.00
3634 - Medicare Reimbursements
9,863,969.66
0.00
9,863,969.66
3638 - Vendor Drug Rebates, Medicaid Program -- Mandated
640,284,428.04
0.00
640,284,428.04
3639 - Premium Credits, Medicaid Program
107,564,057.00
0.00
107,564,057.00
3640 - Vendor Drug Rebates -- Non-Medicaid Program
1,678,825.36
0.00
1,678,825.36
3643 - Premium Co-payments
1,057,115.10
0.00
1,057,115.10
3649 - Vendor Drug and HMO Experience Rebates, CHIP Program
3,080,396.73
0.00
3,080,396.73
3700 - Federal Receipts Matched -- Other Programs
112,011,241.09
0.00
112,011,241.09
3701 - Federal Receipts Not Matched -- Other Programs
30,575,596.25
0.00
30,575,596.25
3702 - Federal Receipts -- Earned Credits
1,501,946.13
0.00
1,501,946.13
3717 - Civil Penalties
1,406,493.35
0.00
1,406,493.35
3719 - Fees for Copies or Filing of Records
694,497.03
0.00
694,497.03
3722 - Conference, Seminars, and Training Registration Fees
3,300.00
0.00
3,300.00
3725 - State Grants, Pass-Through Revenue, Non-Operating
80,628,037.00
0.00
80,628,037.00
3727 - Fees for Administrative Services
1,363,645.40
0.00
1,363,645.40
3740 - Gifts/Grants/Donations -- Non-Operating Revenue/Program Revenue -- Operating Grants and Contributions
47,979.76
0.00
47,979.76
3746 - Rental of Lands /Miscellaneous Land Income
14,100.00
0.00
14,100.00
3754 - Other Surplus or Salvage Property/Materials Sales
6,658.12
0.00
6,658.12
3765 - Interagency Sale of Supplies/Equipment/Services
59,865,233.13
0.00
59,865,233.13
3766 - Supplies/Equipment/Services -- Local Funds
2,045,613.87
0.00
2,045,613.87
3767 - Supplies/Equipment/Services -- Federal/Other
40,809.20
0.00
40,809.20
3769 - Forfeitures
5,246.28
0.00
5,246.28
3770 - Administrative Penalties
755,151.52
0.00
755,151.52
3773 - Insurance Recovery In Subsequent Years
670,200.00
0.00
670,200.00
3781 - Repayment of Petty Cash Advances
3,000.00
0.00
3,000.00
3786 - Repayment of Loans to Other State Agencies
221,325.00
0.00
221,325.00
3788 - Default Deposit Adjustments -- Suspense
180,160,237.40
0.00
180,160,237.40
3789 - Returned Checks -- Default Fund
(15,945.76)
0.00
(15,945.76)
3790 - Deposit to Trust or Suspense
4,209,368,002.93
0.00
4,209,368,002.93
3795 - Other Miscellaneous Governmental Revenue
715,003.82
0.00
715,003.82
3802 - Reimbursements -- Third Party
91,047,815.55
0.00
91,047,815.55
3806 - Rental of Housing to State Employees
96,734.23
0.00
96,734.23
3839 - Sale of Vehicles, Boats and Aircraft
53,480.61
0.00
53,480.61
3851 - Interest on State Deposits and Treasury Investments -- General, Non-Program
720,696.90
0.00
720,696.90
3852 - Interest on Local Deposits -- State Agencies
91.00
0.00
91.00
3854 - Interest Other -- General, Non-Program
2,287,830.83
0.00
2,287,830.83
3879 - Credit Card and Electronic Services Related Fees
144,313.17
0.00
144,313.17
3952 - Transfer to Unappropriated GR 0001 from Disproportionate Share Funds
(2,050,257.67)
0.00
(2,050,257.67)
3963 - Transfer to GR Account-- State Owned Multicategorical Teaching Hospital 5049 and Unappropriated GR 0001 from GR Account -- Lottery 5025 (Other)
439,443.00
0.00
439,443.00
3968 - Operating Transfers Within Agency, Fund or Account and Fiscal Year
195,061,200.31
0.00
195,061,200.31
3971 - Federal Pass-Through Revenue Interagency, Non-Operating for General Budgeted
96,561,267.74
0.00
96,561,267.74
3973 - Other Cash Transfers Within Fund or Account, Between Agencies
91,656,840.00
0.00
91,656,840.00
3980 - Operating Account Transfers In
440,953.20
0.00
440,953.20
3983 - Agency Unappropriated Receipts Swept by Comptroller
(11,475,999.47)
0.00
(11,475,999.47)
3986 - Unexpended Cash Balance Forward --Operating Transfers In
35,201,958.67
0.00
35,201,958.67
3992 - Clearance from Trust or Suspense
(4,052,025,231.51)
0.00
(4,052,025,231.51)
7001 - Salaries and Wages - Line Item Exempt Positions
0.00
96,752.64
(96,752.64)
7002 - Salaries and Wages - Classified and Non-Classified Permanent Full-Time Employees
0.00
605,533,206.02
(605,533,206.02)
7003 - Salaries and Wages - Classified and Non-Classified Permanent Part-Time Employees
0.00
2,600,006.15
(2,600,006.15)
7004 - Salaries and Wages - Classified and Non-Classified Non-Permanent Full-Time Employees
0.00
5,312,769.29
(5,312,769.29)
7005 - Salaries and Wages - Classified and Non-Classified Non-Permanent Part-Time Employees
0.00
11,696.88
(11,696.88)
7007 - Salaries and Wages - Hourly Part-Time Employees
0.00
426,704.06
(426,704.06)
7016 - Salaries and Wages - Employees Receiving Twice-a-Month Salary Payment
0.00
76,358,954.21
(76,358,954.21)
7017 - One-Time Merit Increase
0.00
7,948,305.89
(7,948,305.89)
7019 - Compensatory Time Pay
0.00
8,386,284.16
(8,386,284.16)
7021 - Overtime Pay
0.00
40,979,996.73
(40,979,996.73)
7022 - Longevity Pay
0.00
10,604,907.45
(10,604,907.45)
7023 - Lump Sum Termination Payment
0.00
5,681,562.86
(5,681,562.86)
7024 - Termination Pay -- Death Benefits
0.00
129,135.28
(129,135.28)
7031 - Emoluments and Allowances
0.00
14,028,371.86
(14,028,371.86)
7032 - Employees Retirement -- State Contribution
0.00
65,535,209.05
(65,535,209.05)
7033 - Employee Retirement -- Other Employment Expenses
0.00
1,875,093.58
(1,875,093.58)
7040 - Additional Payroll Retirement Contribution
0.00
3,422,670.69
(3,422,670.69)
7041 - Employee Insurance Payments - Employer Contribution
0.00
89,235,770.97
(89,235,770.97)
7042 - Payroll Health Insurance Contribution
0.00
6,414,804.23
(6,414,804.23)
7043 - F.I.C.A. Employer Matching Contributions
0.00
56,675,899.14
(56,675,899.14)
7047 - Recruitment and Retention Bonuses
0.00
28,846.46
(28,846.46)
7050 - Benefit Replacement Pay
0.00
131,574.01
(131,574.01)
7101 - Travel In-State - Public Transportation Fares
0.00
1,134,260.36
(1,134,260.36)
7102 - Travel In-State - Mileage
0.00
2,384,647.37
(2,384,647.37)
7105 - Travel In-State - Incidental Expenses
0.00
581,280.30
(581,280.30)
7106 - Travel In-State - Meals and Lodging
0.00
2,611,393.32
(2,611,393.32)
7110 - Travel In-State - Board or Commission Member Meal and Lodging Expenses
0.00
2,101.97
(2,101.97)
7111 - Travel Out-of-State - Public Transportation Fares
0.00
73,310.49
(73,310.49)
7112 - Travel Out-of-State - Mileage
0.00
3,841.48
(3,841.48)
7115 - Travel Out-of-State - Incidental Expenses
0.00
33,691.55
(33,691.55)
7116 - Travel Out-of-State - Meals and Lodging
0.00
151,497.31
(151,497.31)
7135 - Travel In-State - State Hotel Occupancy Tax Expense
0.00
34,692.01
(34,692.01)
7136 - Travel In-State - State Hotel Occupancy Tax Expense Inside Galveston City Limits
0.00
1,475.55
(1,475.55)
7137 - Travel In-State - State Hotel Occupancy Tax Expense Inside South Padre Island City Limits
0.00
10.56
(10.56)
7139 - Travel In-State - State Hotel Occupancy Tax Expense Inside Corpus Christi City Limits
0.00
393.38
(393.38)
7201 - Membership Dues
0.00
360,453.83
(360,453.83)
7202 - Tuition - Employee Training
0.00
83,672.11
(83,672.11)
7203 - Registration Fees - Employee Attendance at Seminars and Conferences
0.00
552,667.26
(552,667.26)
7204 - Insurance Premiums and Deductibles
0.00
47,758.04
(47,758.04)
7210 - Fees and Other Charges
0.00
689,761.80
(689,761.80)
7211 - Awards
0.00
101,425.00
(101,425.00)
7213 - Training Expenses -- Other
0.00
161,480.64
(161,480.64)
7218 - Publications
0.00
513,764.16
(513,764.16)
7219 - Fees for Receiving Electronic Payments
0.00
888,003.17
(888,003.17)
7223 - Court Costs
0.00
2,444.35
(2,444.35)
7224 - Witness Fees and Allowances - Criminal Cases and Administrative Hearings
0.00
2,984.85
(2,984.85)
7225 - Judgments & Settlements - Attorney Fees
0.00
70,772.75
(70,772.75)
7226 - Judgments & Settlements for Claimant/Plaintiff, or Other Legal Expenses
0.00
11,046.00
(11,046.00)
7240 - Consultant Services - Other
0.00
330,828.40
(330,828.40)
7242 - Consulting Services - Information Technology (Computer)
0.00
1,544,408.63
(1,544,408.63)
7243 - Educational/Training Services
0.00
501,275.41
(501,275.41)
7245 - Financial and Accounting Services
0.00
7,923,018.91
(7,923,018.91)
7248 - Medical Services
0.00
27,099,603.26
(27,099,603.26)
7249 - Veterinary Services
0.00
1,152.60
(1,152.60)
7253 - Other Professional Services
0.00
284,079,759.59
(284,079,759.59)
7256 - Architectural/Engineering Services
0.00
688,017.15
(688,017.15)
7258 - Legal Services
0.00
109,892.07
(109,892.07)
7262 - Personal Property - Maintenance and Repair - Computer Software - Expensed
0.00
31,649,516.92
(31,649,516.92)
7266 - Real Property - Buildings - Maintenance and Repair - Expensed
0.00
6,068,137.41
(6,068,137.41)
7267 - Personal Property - Maintenance and Repair - Computer Equipment - Expensed
0.00
6,368,621.78
(6,368,621.78)
7270 - Real Property - Infrastructure - Maintenance and Repair - Expensed
0.00
227,435.92
(227,435.92)
7271 - Real Property - Land - Maintenance and Repair - Expensed
0.00
89,413.22
(89,413.22)
7272 - Hazardous Waste Disposal Services
0.00
57,204.21
(57,204.21)
7273 - Reproduction and Printing Services
0.00
340,320.67
(340,320.67)
7274 - Temporary Employment Agencies
0.00
3,253,967.39
(3,253,967.39)
7275 - Information Technology Services
0.00
114,802,154.94
(114,802,154.94)
7276 - Communication Services
0.00
8,772,474.57
(8,772,474.57)
7277 - Cleaning Services
0.00
2,261,129.53
(2,261,129.53)
7280 - Client-Worker Services
0.00
1,386,567.98
(1,386,567.98)
7281 - Advertising Services
0.00
3,244,554.23
(3,244,554.23)
7284 - Data Processing Services
0.00
1,440,490.77
(1,440,490.77)
7285 - Computer Services-Statewide Technology Center
0.00
3,774.00
(3,774.00)
7286 - Freight/Delivery Service
0.00
418,325.57
(418,325.57)
7291 - Postal Services
0.00
13,843,794.33
(13,843,794.33)
7295 - Investigation Expenses
0.00
26,685.36
(26,685.36)
7297 - Emergency Abatement Response
0.00
93,079.88
(93,079.88)
7299 - Purchased Contracted Services
0.00
26,367,339.47
(26,367,339.47)
7300 - Consumables
0.00
7,587,288.32
(7,587,288.32)
7303 - Subscriptions, Periodicals, and Information Services
0.00
617,367.52
(617,367.52)
7304 - Fuels and Lubricants - Other
0.00
782,513.89
(782,513.89)
7309 - Promotional Items
0.00
26,666.15
(26,666.15)
7310 - Chemicals and Gases
0.00
181,736.68
(181,736.68)
7312 - Medical Supplies
0.00
22,944,470.75
(22,944,470.75)
7315 - Food Purchased By The State
0.00
(1,327.50)
1,327.50
7316 - Food Purchased for Wards of the State
0.00
8,480,966.67
(8,480,966.67)
7322 - Personal Items - Wards of the State
0.00
1,503,538.47
(1,503,538.47)
7324 - Credit Card Purchases for Clients or Wards of the State
0.00
215,413.26
(215,413.26)
7325 - Services for Wards of the State
0.00
435,360.43
(435,360.43)
7328 - Supplies/Materials - Agriculture, Construction and Hardware
0.00
1,102,051.04
(1,102,051.04)
7330 - Parts - Furnishings and Equipment
0.00
1,228,763.10
(1,228,763.10)
7331 - Plants
0.00
6,480.93
(6,480.93)
7333 - Fabrics and Linens
0.00
448,425.63
(448,425.63)
7334 - Personal Property - Furnishings, Equipment and Other - Expensed
0.00
3,201,570.67
(3,201,570.67)
7335 - Parts - Computer Equipment - Expensed
0.00
872,467.75
(872,467.75)
7338 - Real Property - Facilities and Other Improvements - Maintenance and Repair - Expensed
0.00
145,531.43
(145,531.43)
7340 - Real Property and Improvements - Expensed
0.00
17,876.62
(17,876.62)
7341 - Real Property - Construction in Progress - Capitalized
0.00
139,210,409.54
(139,210,409.54)
7343 - Real Property - Building Improvements - Capitalized
0.00
817,026.46
(817,026.46)
7367 - Personal Property - Maintenance and Repair - Expensed
0.00
1,748,663.02
(1,748,663.02)
7368 - Personal Property - Maintenance and Repair - Motor Vehicles - Expensed
0.00
545,473.79
(545,473.79)
7371 - Personal Property - Passenger Cars - Capitalized
0.00
723,554.00
(723,554.00)
7372 - Personal Property - Other Motor Vehicles - Capitalized
0.00
510,076.00
(510,076.00)
7373 - Personal Property - Furnishings and Equipment - Capitalized
0.00
578,296.81
(578,296.81)
7374 - Personal Property - Furnishings and Equipment - Controlled
0.00
18,365.83
(18,365.83)
7377 - Personal Property - Computer Equipment - Expensed
0.00
823,257.26
(823,257.26)
7378 - Personal Property - Computer Equipment - Controlled
0.00
1,850.00
(1,850.00)
7379 - Personal Property - Computer Equipment - Capitalized
0.00
3,620,589.01
(3,620,589.01)
7380 - Intangible Property - Computer Software - Expensed
0.00
3,419,128.42
(3,419,128.42)
7382 - Personal Property - Books and Reference Materials - Expensed
0.00
37,475.60
(37,475.60)
7393 - Merchandise Purchased for Resale
0.00
615,137.00
(615,137.00)
7394 - Raw Material Purchases
0.00
(74,797.30)
74,797.30
7395 - Intangible - Computer Software - Purchased - Capitalized
0.00
552,427.00
(552,427.00)
7406 - Rental of Furnishings and Equipment
0.00
5,933,482.27
(5,933,482.27)
7411 - Rental of Computer Equipment
0.00
10,889,384.86
(10,889,384.86)
7415 - Rental of Computer Software
0.00
231,112.00
(231,112.00)
7421 - Rental of Reference Material
0.00
11.99
(11.99)
7442 - Rental of Motor Vehicles
0.00
20,211.66
(20,211.66)
7462 - Rental of Office Buildings or Office Space
0.00
39,125,647.78
(39,125,647.78)
7470 - Rental of Space
0.00
3,224,291.42
(3,224,291.42)
7501 - Electricity
0.00
6,047,551.02
(6,047,551.02)
7502 - Natural and Liquefied Petroleum Gas
0.00
211,408.16
(211,408.16)
7503 - Telecommunications - Long Distance
0.00
3,502.04
(3,502.04)
7504 - Telecommunications - Monthly Charge
0.00
1,900,301.92
(1,900,301.92)
7507 - Water- Utilities
0.00
802,780.16
(802,780.16)
7510 - Telecommunications - Parts and Supplies
0.00
80,523.97
(80,523.97)
7514 - Real Property - Infrastructure- Telecommunications - Maintenance and Repair - Expensed
0.00
199,619.50
(199,619.50)
7516 - Telecommunications - Other Service Charges
0.00
1,697,297.74
(1,697,297.74)
7517 - Personal Property - Telecommunications Equipment - Expensed
0.00
29,769.19
(29,769.19)
7518 - Telecommunications - Dedicated Data Circuit
0.00
1,398.26
(1,398.26)
7522 - Telecommunications - Equipment Rental
0.00
11,760.30
(11,760.30)
7524 - Other Utilities
0.00
84,150.74
(84,150.74)
7526 - Waste Disposal
0.00
1,671,328.99
(1,671,328.99)
7604 - Grants to Senior Colleges and Universities
0.00
560,758.97
(560,758.97)
7611 - Payments/Grants to Cities
0.00
26,454,270.98
(26,454,270.98)
7612 - Payments/Grants to Counties
0.00
13,458,229.05
(13,458,229.05)
7613 - Payments/Grants to Other Political Subdivisions
0.00
8,931,213.28
(8,931,213.28)
7614 - State Grant Pass-Through Expenditure - Non-Operating
0.00
240,773.53
(240,773.53)
7615 - State Grant Pass-Through Expenditure - Operating
0.00
2,380,511.79
(2,380,511.79)
7621 - Grants - Council of Governments
0.00
35,130,387.00
(35,130,387.00)
7623 - Grants - Community Service Programs
0.00
807,940,513.40
(807,940,513.40)
7641 - Public Assistance - Temporary Assistance for Needy Families (TANF)
0.00
6,827,556.33
(6,827,556.33)
7643 - Other Financial Services
0.00
2,100,441.77
(2,100,441.77)
7645 - Disaster Relief Payments
0.00
(31,263.88)
31,263.88
7652 - Financial Services - Rehabilitation Clients
0.00
12,677,110.74
(12,677,110.74)
7661 - Medical Services - Nursing Home Programs
0.00
782,752,829.69
(782,752,829.69)
7662 - Vendor Drug Program
0.00
120,018,770.58
(120,018,770.58)
7664 - Supplementary Medical Insurance Benefits
0.00
145,056,662.53
(145,056,662.53)
7666 - Medical Services and Specialties
0.00
15,187,706,712.86
(15,187,706,712.86)
7672 - Grants-In-Aid (Foster Care)
0.00
489,501.20
(489,501.20)
7673 - Grants-In-Aid(Care for Aged, Blind and Disabled)
0.00
32,447,824.83
(32,447,824.83)
7676 - Grants-In-Aid(Transportation)
0.00
75,661,835.61
(75,661,835.61)
7677 - Family Planning Services
0.00
38,858,062.25
(38,858,062.25)
7680 - Grants-In-Aid (Food)
0.00
235,514,291.48
(235,514,291.48)
7697 - Grants - Public Incentive Programs
0.00
(35,287.71)
35,287.71
7806 - Interest On Delayed Payments
0.00
597,710.23
(597,710.23)
7829 - Disbursement of Medicaid Incentive Transfers To State Hospitals (UC, UPL and DSRIP)
0.00
50,980,610.46
(50,980,610.46)
7830 - Disbursement of Disproportionate Share Funds/State Hospitals
0.00
94,925,568.79
(94,925,568.79)
7831 - Disbursement of Disproportionate Share Funds/Non-State Hospitals
0.00
439,351,996.40
(439,351,996.40)
7832 - State Hospital/Agencies Payments of State Matching Disproportionate Share, Upper Payment Limit, Uncompensated Care and Delivery System Reform Incentive Payments to State Hospitals Program Funds
0.00
70,366,734.90
(70,366,734.90)
7835 - Disbursement of Medicaid Incentive Transfers To Urban/Rural Hospitals for Uncompensated Care, Upper Payment Limit and Delivery System Reform Incentive Payments to State Hospitals Programs
0.00
1,701,987,615.56
(1,701,987,615.56)
7901 - Interagency Purchase of Goods and Services (Memo Only)
0.00
118,444,448.97
(118,444,448.97)
7902 - Trust or Suspense Payment
0.00
2,131,581.94
(2,131,581.94)
7904 - Petty Cash Advance
0.00
4,480.00
(4,480.00)
7947 - State Office of Risk Management Assessments
0.00
8,716,805.03
(8,716,805.03)
7952 - Transfer of Disproportionate Share Funds to Unappropriated GR 0001
0.00
(2,050,257.67)
2,050,257.67
7961 - STS (Tex-An) Transfers to General Revenue
0.00
2,483,412.97
(2,483,412.97)
7968 - Operating Transfers Within Agency, Fund or Account, and Fiscal Year
0.00
195,061,200.31
(195,061,200.31)
7971 - Federal Pass-Through Expenditure Interagency, Non-Operating for General Budgeted
0.00
137,725,499.57
(137,725,499.57)
7972 - Other Cash Transfers Between Funds or Accounts
0.00
1,242.83
(1,242.83)
7973 - Other Cash Transfers Within Fund or Account, Between Agencies
0.00
(847,524.67)
847,524.67
7978 - Federal Pass-Through Expenditure Interagency, Operating for General Budgeted
0.00
37,588,103.93
(37,588,103.93)
7980 - Operating Account Transfers Out
0.00
440,953.20
(440,953.20)
7986 - Unexpended Cash Balance Forward-- Operating Transfers Out
0.00
35,201,958.67
(35,201,958.67)
Total
17,542,552,811.14
22,258,273,771.31
(4,715,720,960.17)