State of Texas Cash Activity (Cash Drilldown)
Texas Comptroller of Public Accounts
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Activity by Object
Agency 717 - Texas Southern University
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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3014 - Motor Vehicle Registration Fees
1,301.64
0.00
1,301.64
3788 - Default Deposit Adjustments -- Suspense
48,425.20
0.00
48,425.20
3790 - Deposit to Trust or Suspense
6,974.80
0.00
6,974.80
3851 - Interest on State Deposits and Treasury Investments -- General, Non-Program
162,910.38
0.00
162,910.38
3978 - Federal Pass-Through Revenue Interagency, Operating for General Budgeted
(3,959.64)
0.00
(3,959.64)
3986 - Unexpended Cash Balance Forward --Operating Transfers In
75,772.00
0.00
75,772.00
7008 - Higher Education Salaries - Faculty/Academic Employees
0.00
2,768,973.86
(2,768,973.86)
7010 - Higher Education Salaries - Professional/ Administrative Employees
0.00
1,082,631.25
(1,082,631.25)
7014 - Higher Education Salaries - Student Employees
0.00
10,735.00
(10,735.00)
7015 - Higher Education Salaries - Classified Employees
0.00
1,224,055.37
(1,224,055.37)
7020 - Hazardous Duty Pay
0.00
3,049.93
(3,049.93)
7022 - Longevity Pay
0.00
41,180.76
(41,180.76)
7023 - Lump Sum Termination Payment
0.00
18,781.52
(18,781.52)
7024 - Termination Pay -- Death Benefits
0.00
1,689.36
(1,689.36)
7031 - Emoluments and Allowances
0.00
1,600.00
(1,600.00)
7041 - Employee Insurance Payments - Employer Contribution
0.00
92,883.26
(92,883.26)
7042 - Payroll Health Insurance Contribution
0.00
12,663.90
(12,663.90)
7043 - F.I.C.A. Employer Matching Contributions
0.00
407,766.55
(407,766.55)
7086 - Optional Retirement - State Match
0.00
803,820.96
(803,820.96)
7201 - Membership Dues
0.00
360.00
(360.00)
7210 - Fees and Other Charges
0.00
400.00
(400.00)
7240 - Consultant Services - Other
0.00
75,000.00
(75,000.00)
7242 - Consulting Services - Information Technology (Computer)
0.00
185,003.05
(185,003.05)
7248 - Medical Services
0.00
4,933.33
(4,933.33)
7253 - Other Professional Services
0.00
224,634.20
(224,634.20)
7266 - Real Property - Buildings - Maintenance and Repair - Expensed
0.00
457,496.80
(457,496.80)
7267 - Personal Property - Maintenance and Repair - Computer Equipment - Expensed
0.00
26,576.00
(26,576.00)
7274 - Temporary Employment Agencies
0.00
21,430.94
(21,430.94)
7275 - Information Technology Services
0.00
26,000.00
(26,000.00)
7300 - Consumables
0.00
15,739.82
(15,739.82)
7303 - Subscriptions, Periodicals, and Information Services
0.00
55,255.20
(55,255.20)
7309 - Promotional Items
0.00
2,487.53
(2,487.53)
7312 - Medical Supplies
0.00
4,293.94
(4,293.94)
7330 - Parts - Furnishings and Equipment
0.00
3,863.80
(3,863.80)
7334 - Personal Property - Furnishings, Equipment and Other - Expensed
0.00
2,506.25
(2,506.25)
7341 - Real Property - Construction in Progress - Capitalized
0.00
1,164,747.54
(1,164,747.54)
7367 - Personal Property - Maintenance and Repair - Expensed
0.00
144,365.36
(144,365.36)
7373 - Personal Property - Furnishings and Equipment - Capitalized
0.00
59,299.22
(59,299.22)
7377 - Personal Property - Computer Equipment - Expensed
0.00
18,686.00
(18,686.00)
7378 - Personal Property - Computer Equipment - Controlled
0.00
4,500.00
(4,500.00)
7380 - Intangible Property - Computer Software - Expensed
0.00
54,145.00
(54,145.00)
7382 - Personal Property - Books and Reference Materials - Expensed
0.00
36,635.67
(36,635.67)
7389 - Personal Property - Books and Reference Materials - Capitalized
0.00
822,919.24
(822,919.24)
7501 - Electricity
0.00
478,865.45
(478,865.45)
7504 - Telecommunications - Monthly Charge
0.00
174,282.72
(174,282.72)
7801 - Interest On Governmental and Fiduciary Long-Term Debt
0.00
2,230,497.34
(2,230,497.34)
7803 - Principal On State Bonds
0.00
662,200.00
(662,200.00)
7806 - Interest On Delayed Payments
0.00
1,150.48
(1,150.48)
7909 - Teacher Retirement Reimbursement
0.00
333,032.69
(333,032.69)
7947 - State Office of Risk Management Assessments
0.00
126,204.55
(126,204.55)
7986 - Unexpended Cash Balance Forward-- Operating Transfers Out
0.00
75,772.00
(75,772.00)
Total
291,424.38
13,963,115.84
(13,671,691.46)