2023年4季度 | 职工基本医疗保险(含生育保险)基金预算执行情况公示 | |||||||
社预执行05表 | ||||||||
填报单位: | 湖北省咸宁市通山县城镇医疗保险经办机构 | 2023年4季度 | 单位:元 | |||||
项 目 | 2023年预算数 | 2023年调整后预算数 | 当期执行数 | 累计执行数 | 上年同期累计执行数 | 预算执行进度(%) | 比上年同期增长(%) | |
一、期初余额 | 165,527,203.67 | 165,527,203.67 | 126,317,691.76 | 165,527,203.67 | 163,782,625.25 | 100.00% | 1.07% | |
二、收入合计 | 137,579,762.90 | 137,579,762.90 | 46,955,832.78 | 151,215,892.81 | 127,467,053.68 | 109.91% | 18.63% | |
(一)收入小计 | 137,579,762.90 | 137,579,762.90 | 46,955,832.78 | 151,215,892.81 | 127,467,053.68 | 109.91% | 18.63% | |
1.基本医疗保险费收入 | 135,063,340.90 | 135,063,340.90 | 46,383,890.30 | 148,641,868.83 | 123,221,322.70 | 110.05% | 20.63% | |
2.财政补贴收入 | 166,422.00 | 166,422.00 | 2,073,093.27 | -100.00% | ||||
3.利息收入 | 2,070,000.00 | 2,070,000.00 | 438,479.00 | 2,218,163.11 | 1,929,671.47 | 107.16% | 14.95% | |
4.其他收入 | 80,000.00 | 80,000.00 | 2,458.00 | 2,828.00 | 44,685.80 | 3.54% | -93.67% | |
5.转移收入 | 200,000.00 | 200,000.00 | 131,005.48 | 353,032.87 | 198,280.44 | 176.52% | 78.05% | |
(二)上级补助收入 | ||||||||
(三)下级上解收入 | ||||||||
三、支出合计 | 123,608,257.73 | 123,608,257.73 | 50,593,890.54 | 194,063,462.48 | 154,808,360.50 | 157.00% | 25.36% | |
(一)支出小计 | 123,608,257.73 | 123,608,257.73 | 50,593,890.54 | 194,063,462.48 | 154,808,360.50 | 157.00% | 25.36% | |
1.基本医疗保险待遇支出 | 120,713,457.73 | 120,713,457.73 | 50,422,970.18 | 143,173,342.47 | 152,021,555.66 | 118.61% | -5.82% | |
2.其他支出 | 2,604,800.00 | 2,604,800.00 | 120,978.97 | 50,593,860.18 | 2,475,365.54 | 1942.33% | 1943.89% | |
3.转移支出 | 290,000.00 | 290,000.00 | 49,941.39 | 296,259.83 | 311,439.30 | 102.16% | -4.87% | |
(二)补助下级支出 | ||||||||
(三)上解上级支出 | ||||||||
四、当期收支结余 | 13,971,505.17 | 13,971,505.17 | -3,638,057.76 | -42,847,569.67 | -27,341,306.82 | -306.68% | -56.71% | |
五、期末滚存结余 | 179,498,708.84 | 179,498,708.84 | 122,679,634.00 | 122,679,634.00 | 136,441,318.43 | 68.35% | -10.09% | |
第 5 页 |
2023年4季度城乡居民基本医疗保险基金预算执行情况公示 | ||||||||
社预执行06表 | ||||||||
填报单位: | 湖北省咸宁市通山县城镇医疗保险经办机构 | 2023年4季度 | 单位:元 | |||||
项 目 | 2023年预算数 | 2023年调整后预算数 | 当期执行数 | 累计执行数 | 上年同期累计执行数 | 预算执行进度(%) | 比上年同期增长(%) | |
一、期初余额 | 79,665,155.27 | 79,665,155.27 | 122,430,644.48 | 79,665,155.27 | 63,293,187.15 | 100.00% | 25.87% | |
二、收入合计 | 388,630,972.00 | 388,630,972.00 | 127,773,166.00 | 392,006,934.67 | 734,900,290.81 | 100.87% | -46.66% | |
(一)收入小计 | 388,630,972.00 | 388,630,972.00 | 127,773,166.00 | 392,006,934.67 | 364,307,796.72 | 100.87% | 7.60% | |
1.缴费收入 | 136,152,450.00 | 136,152,450.00 | 118,468,992.00 | 128,803,812.00 | 135,571,531.00 | 94.60% | -4.99% | |
2.财政补贴收入 | 251,298,522.00 | 251,298,522.00 | 2,714,380.80 | 212,294,380.80 | 228,181,628.00 | 84.48% | -6.96% | |
3.利息收入 | 1,050,000.00 | 1,050,000.00 | 96,729.01 | 341,927.21 | 426,554.58 | 32.56% | -19.84% | |
4.其他收入 | 130,000.00 | 130,000.00 | 6,493,064.19 | 50,566,814.66 | 128,083.14 | 38897.55% | 39379.68% | |
(二)上级补助收入 | 370,592,494.09 | -100.00% | ||||||
(三)下级上解收入 | ||||||||
三、支出合计 | 371,897,502.57 | 371,897,502.57 | 101,110,337.74 | 322,578,617.20 | 721,208,996.69 | 86.74% | -55.27% | |
(一)支出小计 | 371,897,502.57 | 371,897,502.57 | 101,110,337.74 | 322,578,617.20 | 362,096,240.55 | 86.74% | -10.91% | |
1.基本医疗保险待遇支出 | 315,802,693.17 | 315,802,693.17 | 101,608,708.64 | 286,911,219.82 | 306,329,819.83 | 90.85% | -6.34% | |
2.大病保险支出 | 32,520,985.20 | 32,520,985.20 | 34,580,152.04 | 33,804,523.76 | 106.33% | 2.29% | ||
3.其他支出 | 23,573,824.20 | 23,573,824.20 | -498,370.90 | 1,087,245.34 | 21,961,896.96 | 4.61% | -95.05% | |
(二)补助下级支出 | ||||||||
(三)上解上级支出 | 359,112,756.14 | -100.00% | ||||||
四、当期收支结余 | 16,733,469.43 | 16,733,469.43 | 26,662,828.26 | 69,428,317.47 | 13,691,294.12 | 414.91% | 407.10% | |
五、期末滚存结余 | 96,398,624.70 | 96,398,624.70 | 149,093,472.74 | 149,093,472.74 | 76,984,481.27 | 154.66% | 93.67% | |
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