By Fund

Fund Category: A - GENERAL FUNDS

Fiscal Year: 20

Monthly Revenue Amounts
Code Fund Revenue YTD Jul Aug Sep Oct Nov Dec Jan Feb Mar Apr May Jun
0001 GENERAL REVENUE $33,867,116,820.66 $2,924,560,517.24 $2,207,877,865.42 $3,514,731,317.31 $2,460,309,687.46 $2,350,152,374.98 $2,579,462,767.62 $2,901,429,892.82 $2,139,516,453.07 $3,099,058,699.37 $2,960,041,267.00 $1,832,290,157.39 $4,897,685,370.98
0412 COMMON SCHOOL $8,300,971,638.67 $384,801,874.38 $692,023,622.39 $735,034,207.02 $640,379,177.53 $563,896,722.78 $743,336,050.89 $756,919,850.19 $544,450,761.05 $742,715,943.59 $769,015,311.95 $712,210,928.48 $1,016,187,188.42
0005 GR - CS SPECIAL ACCT $2,159,463,035.85 $195,183,466.59 $191,965,724.02 $181,561,266.15 $184,303,945.95 $193,700,648.92 $211,004,724.85 $195,117,630.64 $159,283,235.46 $175,532,770.97 $145,871,173.34 $150,711,972.22 $175,226,476.74
0007 EDUCATION ASSISTANCE $1,789,178,507.41 $126,793,504.35 $119,255,754.09 $203,259,531.06 $133,607,834.97 $133,565,381.88 $184,377,676.27 $184,757,090.17 $115,557,885.57 $166,447,181.75 $161,647,259.37 $101,374,573.71 $158,534,834.22
0644 COMMITMENT TO HUMAN SERVICES $671,882,418.59 $48,075,708.81 $42,816,464.97 $61,094,594.38 $49,441,433.86 $44,675,024.24 $54,977,946.07 $69,206,846.18 $51,046,902.64 $71,270,572.18 $63,543,053.25 $44,219,353.36 $71,514,518.65
0640 FUND FOR ADVNCMNT OF EDUCATION $660,478,138.05 $47,518,941.98 $42,790,348.23 $61,094,594.92 $49,366,072.41 $44,638,009.66 $54,923,713.00 $69,175,955.10 $50,901,872.99 $71,263,479.01 $63,539,922.54 $44,218,974.04 $61,046,254.17
0686 BUDGET STABILIZATION $7,485,876.70 $2,469.34 $322.09 $105.48 $99.21 $95.10 $88.61 $88.36 $87.36 $1,130,929.01 $1,503,980.12 $759,095.67 $4,088,516.35
Total: $47,456,576,435.90

 

 

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