| | Main Menu | Back to Activity by Fund - FY 2025 | Back to FY Activity | |
Activity for Fund 0976 - Texas Emergency Services Retirement Trust Fund
Fiscal Year 2025 - By Month
| Month | Revenue | Expenditures | Net Activity |
|---|---|---|---|
| September | 1,589,797.82 | 739,747.03 | 850,050.79 |
| October | 3,204,364.15 | 1,625,169.73 | 1,579,194.42 |
| November | 3,291,555.01 | 2,426,190.47 | 865,364.54 |
| December | 4,829,302.34 | 3,319,801.05 | 1,509,501.29 |
| January | 5,269,267.44 | 4,124,548.72 | 1,144,718.72 |
| February | 6,177,497.94 | 5,104,568.96 | 1,072,928.98 |
| March | 6,816,035.66 | 5,920,542.09 | 895,493.57 |
| April | 8,597,759.59 | 6,800,012.75 | 1,797,746.84 |
| May | 8,715,055.05 | 7,672,950.78 | 1,042,104.27 |
| June | 9,270,587.43 | 8,516,243.49 | 754,343.94 |
| July | 11,290,418.32 | 9,373,783.95 | 1,916,634.37 |
| August | 11,290,436.66 | 10,337,524.40 | 952,912.26 |