发布时间:2021-01-29 11:39 信息来源:通道县财政局
2021年社会保险基金收支预算总表 | ||||||||
通道县 | 单位:元 | |||||||
项 目 | 合计 | 企业职工基本 养老保险基金 |
城乡居民基本 养老保险基金 |
机关事业单位基 本养老保险基金 |
职工基本医疗保险 (含生育保险)基金 |
城乡居民基本 医疗保险基金 |
工伤保险基金 | 失业保险基金 |
一、收入 | 613,771,478.87 | 145,206,673.51 | 68,445,161.00 | 144,455,259.38 | 56,601,900.60 | 183,642,913.58 | 12,019,570.00 | 3,400,000.80 |
其中:1.社会保险费收入 | 302,451,272.35 | 53,726,912.37 | 14,033,070.00 | 110,125,059.38 | 55,721,900.60 | 59,574,760.00 | 6,019,570.00 | 3,250,000.00 |
2.财政补贴收入 | 295,982,251.00 | 90,015,300.00 | 54,252,091.00 | 28,000,000.00 | 310,000.00 | 123,404,860.00 | ||
3.利息收入 | 1,901,698.72 | 163,205.14 | 105,000.00 | 280,200.00 | 570,000.00 | 663,293.58 | 120,000.00 | |
4.委托投资收益 | ||||||||
5.转移收入 | 12,120,000.80 | 40,000.00 | 6,050,000.00 | 6,000,000.00 | 30,000.80 | |||
6.其他收入 | 1,316,256.00 | 1,301,256.00 | 15,000.00 | |||||
7.中央调剂资金收入(省级专用) | ||||||||
8.中央调剂基金收入(中央专用) | ||||||||
二、支出 | 585,152,444.74 | 144,378,259.82 | 50,900,607.90 | 153,452,814.76 | 53,518,770.99 | 159,429,822.35 | 22,118,289.27 | 1,353,879.65 |
其中:1.社会保险待遇支出 | 525,647,890.64 | 103,112,945.72 | 50,882,607.90 | 152,820,812.76 | 53,518,770.99 | 159,429,822.35 | 5,080,451.27 | 802,479.65 |
2.转移支出 | 650,002.00 | 18,000.00 | 632,002.00 | |||||
3.其他支出 | 58,354,152.10 | 41,265,314.10 | 17,037,838.00 | 51,000.00 | ||||
4.中央调剂基金支出(中央专用) | ||||||||
5.中央调剂资金支出(省级专用) | ||||||||
三、本年收支结余 | 28,619,034.13 | 828,413.69 | 17,544,553.10 | -8,997,555.38 | 3,083,129.61 | 24,213,091.23 | -10,098,719.27 | 2,046,121.15 |
四、年末滚存结余 | 412,872,791.90 | 7,862,548.84 | 172,470,640.17 | 3,835.77 | 75,090,720.72 | 140,638,010.89 | 502,867.49 | 16,304,168.02 |