Estado do Paraná                          Balanço Orçamentário (Art. 2º, Inciso XIV)
 Prefeitura Municipal de Jesuitas          Janeiro a Julho de 2002                                                

 Unidade Gestora : PREFEITURA MUNICIPAL                                                                                             
                                                              Previsão para o           Execução até                                
                    RECEITAS                                        Exercício                  Julho              Diferença         
       RECEITAS CORRENTES                                        5.073.000,00           3.007.655,92           2.065.344,08         
         Receita Tributária                                        384.000,00             197.709,52             186.290,48         
         Receita de Contribuições                                   12.000,00               4.818,94               7.181,06         
         Receita Patrimonial                                        27.000,00              14.342,70              12.657,30         
         Receita de Serviços                                       104.000,00              19.293,29              84.706,71         
         Transferências Correntes                                4.413.000,00           2.727.288,99           1.685.711,01         
         Outras Receitas Correntes                                 133.000,00              44.202,48              88.797,52         
       RECEITAS DE CAPITAL                                       2.273.000,00             228.000,00           2.045.000,00         
         Operações de Crédito                                       80.000,00                   0,00              80.000,00         
         Alienação de Bens                                          20.000,00                   0,00              20.000,00         
         Transferências de Capital                               2.173.000,00             228.000,00           1.945.000,00         
       SUBTOTAL                                                  7.346.000,00           3.235.655,92           4.110.344,08         
       DÉFICIT                                                    -266.000,00                   0,00            -266.000,00         
       TOTAL                                                     7.080.000,00           3.235.655,92           3.844.344,08         
                                                                                                                                    
                                                                   Dotação do          Empenhada até                                
                    DESPESAS                                        Exercício                  Julho              Diferença         
       DESPESAS CORRENTES                                        4.584.000,00           2.165.245,91           2.418.754,09         
         Pessoal e Encargos Sociais                              1.995.000,00             979.518,74           1.015.481,26         
         Juros e Encargos da Dívida                                 50.000,00              17.785,21              32.214,79         
         Outras Despesas Correntes                               2.539.000,00           1.167.941,96           1.371.058,04         
       DESPESAS DE CAPITAL                                       2.471.000,00             348.622,83           2.122.377,17         
         Investimentos                                           2.191.000,00             227.819,50           1.963.180,50         
         Inversões Financeiras                                      75.000,00                   0,00              75.000,00         
         Amortização da Dívida                                     205.000,00             120.803,33              84.196,67         
       RESERVA DE CONTINGÊNCIA                                      25.000,00                   0,00              25.000,00         
       SUBTOTAL                                                  7.080.000,00           2.513.868,74           4.566.131,26         
                                                                                                                                    
       SUPERÁVIT CORRENTE                                                0,00             842.410,01             842.410,01         
       SUPERÁVIT DE CAPITAL                                              0,00            -120.622,83            -120.622,83         
       TOTAL                                                     7.080.000,00           3.235.655,92           3.844.344,08         

























CPcetil - Contabilidade Pública - Emissão: 05/11/2002 às 17:35 h