By Fund

Fund Category: A - GENERAL FUNDS

Fiscal Year: 19


Monthly Revenue Amounts
Code Fund Revenue YTD Jul Aug Sep Oct Nov Dec Jan Feb Mar Apr May Jun
0001 GENERAL REVENUE $27,220,875,688.65 $2,368,742,063.46 $2,330,275,068.66 $2,809,260,428.24 $2,686,585,984.84 $2,532,851,084.73 $2,539,714,194.79 $2,880,066,336.25 $2,052,433,589.40 $2,830,436,861.89 $4,190,510,076.39 $0.00 $0.00
0412 COMMON SCHOOL $6,090,629,288.82 $276,339,967.36 $679,823,366.28 $704,747,006.58 $577,952,905.51 $585,644,204.56 $713,481,609.89 $693,437,450.92 $449,800,616.59 $693,985,688.49 $715,416,472.64 $0.00 $0.00
0005 GR - CS SPECIAL ACCT $1,797,633,046.75 $181,110,966.92 $185,925,462.55 $181,503,260.64 $183,796,821.80 $194,252,417.34 $202,970,839.94 $192,154,215.96 $145,863,630.58 $170,630,439.09 $159,424,991.93 $0.00 $0.00
0007 EDUCATION ASSISTANCE $1,610,451,023.99 $130,225,128.35 $119,397,702.75 $178,079,903.13 $144,361,297.19 $118,157,783.95 $159,558,812.29 $198,492,559.94 $97,778,444.67 $185,734,999.24 $278,664,392.48 $0.00 $0.00
0644 COMMITMENT TO HUMAN SERVICES $621,488,489.78 $52,680,047.02 $44,785,305.55 $43,854,420.64 $55,713,374.08 $49,589,990.12 $41,717,385.53 $118,105,287.31 $44,039,734.55 $66,521,582.13 $104,481,362.85 $0.00 $0.00
0640 FUND FOR ADVNCMNT OF EDUCATION $618,126,510.75 $52,576,360.07 $44,063,401.08 $43,609,910.45 $55,612,053.65 $48,940,018.95 $41,655,744.01 $117,982,855.30 $43,997,507.74 $65,293,979.85 $104,394,679.65 $0.00 $0.00
0686 BUDGET STABILIZATION $15,300.51 $1,201.19 $5,848.26 $4,237.41 $117.46 $251.40 $90.92 $95.05 $1,068.41 $91.87 $2,298.54 $0.00 $0.00
Total: $37,959,219,349.20

 

 

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