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BALANCE
DE EJECUCION PRESUPUESTARIA DE INGRESOS Y GASTOS ACUMULADOS |
|
DEPARTAMENTO DE SALUD MUNICIPAL AL
31.12.2009 |
|
(En Miles de Pesos) |
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SUB |
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ASIG- |
SUB- |
SUB- |
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TITU |
ITEM |
NA- |
ASIG |
SUB- |
CUENTAS |
PRESUPUESTO |
PRESUPUESTO |
TOTAL ACUM- |
SALDO |
|
|
LO |
|
CION |
NA- |
ASIG |
PRESUPUESTARIAS |
INICIAL |
VIGENTE |
EJECUCION |
PRESUPUEST. |
PORCENTAJE |
|
|
|
|
CION |
NAC. |
|
|
|
4° TRIMESTRE |
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|
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|
INGRESOS PRESUPUESTARIOS |
|
|
|
|
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|
O5 |
|
|
|
|
TRANSFERENCIAS CORRIENTES |
4,380,000 |
5,459,148 |
5,252,898 |
206,250 |
96,22 |
|
|
O3 |
OO6 |
OO1 |
|
ATENC.PRIMARIA ART.49 L.19378 |
2,950,000 |
3,252,448 |
3,253,037 |
(589) |
100,02 |
|
|
|
|
OO2 |
|
APORTES AFECTADOS |
900,000 |
1,481,000 |
1,356,152 |
124,848 |
91,57 |
|
|
|
101 |
|
|
DE LA MUNICIPALIDAD A SERV.IN |
400,000 |
550,000 |
550,000 |
- |
100,00 |
|
|
|
O99 |
|
|
DE OTRAS ENTIDADES PUBLICAS |
130,000 |
175,700 |
93,709 |
81,991 |
53,34 |
|
O7 |
|
|
|
|
INGRESOS DE OPERACIÓN : |
30,000 |
56,000 |
46,740 |
9,260 |
83,46 |
|
|
O2 |
|
|
|
VENTA DE SERVICIOS |
30,000 |
56,000 |
46,740 |
9,260 |
83,46 |
|
O8 |
|
|
|
|
OTROS INGRESOS CORRIENTES |
170,000 |
200,000 |
183,069 |
16,931 |
91,54 |
|
|
O1 |
OO1 |
|
|
REEMBOLSO LIC.MEDICAS ART.4 |
160,000 |
190,000 |
178,775 |
11,225 |
94,09 |
|
|
99 |
999 |
|
|
REINTEGROS VARIOS |
10,000 |
10,000 |
4,294 |
5,706 |
42,94 |
|
15 |
|
|
|
|
SALDO INICIAL CAJA |
10,000 |
89,932 |
89,932 |
- |
100,00 |
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|
|
|
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|
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|
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TOTAL INGRESOS |
4,590,000 |
5,805,080 |
5,572,639 |
232,441 |
96,00 |
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GASTOS PRESUPUESTARIOS |
|
|
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|
|
|
21 |
|
|
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GASTOS EN PERSONAL |
3,773,100 |
4,469,659 |
4,418,757 |
50,902 |
98,86 |
|
|
O1 |
|
|
|
PERSONAL DE PLANTA |
3,748,100 |
4,447,584 |
4,397,863 |
49,721 |
98,88 |
|
|
|
OO1 |
|
|
SUELDOS Y SOBRESUELDOS |
1,584,110 |
1,800,590 |
1,788,130 |
12,460 |
99,31 |
|
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OO2 |
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APORTES DEL EMPLEADOR |
76,000 |
110,228 |
109,608 |
620 |
99,44 |
|
|
|
OO3 |
|
|
ASIG.POR DESEMPEÑO |
350,000 |
459,700 |
451,489 |
8,211 |
98,21 |
|
|
|
OO4 |
|
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REMUNERACIONES VARIABLES |
416,000 |
441,420 |
427,671 |
13,749 |
96,89 |
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OO5 |
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AGUINALDOS Y BONOS |
57,000 |
100,692 |
92,201 |
8,491 |
91,57 |
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OO1 |
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ASIG.ATENCION PRIMARIA |
1,264,990 |
1,534,954 |
1,528,764 |
6,190 |
99,60 |
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31 |
|
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PERSONAL DEPTO. SALUD |
25,000 |
22,075 |
20,894 |
1,181 |
94,65 |
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22 |
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BIENES Y SERVIC. DE CONSUMO |
745,900 |
1,200,679 |
798,860 |
401,819 |
66,53 |
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O1 |
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ALIMENTOS Y BEBIDAS |
12,000 |
10,269 |
6,530 |
3,739 |
63,59 |
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O2 |
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TEXTILES, VEST.Y CALZADOS |
59,000 |
91,270 |
43,595 |
47,675 |
47,77 |
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O3 |
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COMBUSTIB.Y LUBRICANTES |
20,000 |
14,660 |
12,387 |
2,273 |
84,50 |
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O4 |
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MAT. USO O CONSUMO CTE. |
493,500 |
836,053 |
582,611 |
253,442 |
69,69 |
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|
O5 |
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SERVICIOS BASICOS |
91,000 |
101,287 |
92,583 |
8,704 |
91,41 |
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O6 |
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MANTENIMIENTO Y REPARACION. |
22,800 |
87,779 |
23,362 |
64,417 |
26,62 |
|
|
O8 |
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SERVICIOS GENERALES |
14,500 |
16,000 |
10,274 |
5,726 |
64,21 |
|
|
O9 |
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ARRIENDOS |
9,000 |
12,061 |
6,692 |
5,369 |
55,49 |
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|
10 |
|
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SERVICIOS FINANC.Y DE SEGUR. |
5,000 |
4,000 |
3,147 |
853 |
78,68 |
|
|
11 |
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SERVICIOS TECNICOS Y PROFES |
4,000 |
10,000 |
1,944 |
8,056 |
19,44 |
|
|
12 |
|
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OTROS GTOS.EN Bs.Y Ss.CSMO |
15,100 |
17,300 |
15,735 |
1,565 |
90,95 |
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23 |
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PRESTAC.DE SEGURIDAD SOCIAL |
1,000 |
31,856 |
30,856 |
1,000 |
96,86 |
|
|
O1 |
OO4 |
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DESAHUCIO E INDEMNIZACIONES |
1,000 |
31,856 |
30,856 |
1,000 |
96,86 |
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29 |
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ADQUIS.DE ACTIVOS NO FINANC. |
70,000 |
102,886 |
56,876 |
46,010 |
55,28 |
|
|
O3 |
|
|
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VEHICULOS |
21,000 |
16,000 |
14,749 |
1,251 |
92,18 |
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O4 |
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MOBILIARIOS Y OTROS |
20,000 |
30,746 |
17,939 |
12,807 |
58,35 |
|
|
O5 |
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MAQUINAS Y EQUIPOS |
18,000 |
40,140 |
21,569 |
18,571 |
53,73 |
|
|
|
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EQUIPOS INFORMATICOS |
11,000 |
16,000 |
2,619 |
13,381 |
16,37 |
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O6 |
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TOTAL
GASTOS |
4,590,000 |
5,805,080 |
5,305,349 |
499,731 |
91,39 |
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ESTADO DE CUENTAS EXTRAPRESUPUESTARIAS AL 31.12.2009 |
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|
DEPARTAMENTO DE SALUD MUNICIPAL (EN MILES DE PESOS) |
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PROYECTOS |
|
|
INGRESOS |
|
EGRESOS |
|
SALDO |
|
|
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|
|
PARCIAL |
ACUMULADO |
PARCIAL |
ACUMULADO |
|
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|
PROGRAMA
INCENTIVOS |
|
- |
219 |
- |
219 |
- |
|
|
PROYECTOS
PSICOSOCIALES |
|
- |
6,857 |
- |
6,664 |
193 |
|
|
ESTRATEGIA
CARDIOVASCULAR |
|
|
- |
2,236 |
- |
2,236 |
- |
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PROG.DE
D.T.I.DE LA DEPRESION EN ANPS |
|
|
- |
6,399 |
455 |
4,532 |
1,867 |
|
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PROGRAMA
RED COMPUTACIONAL CONSULTORIOS |
|
|
- |
31 |
- |
31 |
- |
|
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CONVENIO
LABORATORIOS BASICOS |
|
|
6,440 |
131,572 |
9,152 |
116,499 |
15,073 |
|
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CONVENIO
PROGRAMA CAPACITACION |
|
|
- |
8,673 |
206 |
6,527 |
2,146 |
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PROY.CESFAM LOS AROMOS |
- |
59,480 |
3,457 |
51,707 |
7,773 |
|
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CHEQUES CADUCADOS |
|
- |
2,818 |
- |
2,818 |
- |
|
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CONVENIO V.I.F. |
|
|
- |
532 |
- |
502 |
30 |
|
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OTRAS
OBLIGACIONES FINANCIERAS-VARIAS |
|
|
- |
- |
- |
- |
- |
|
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PROG.PASANTIAS
AL EXTRANJERO |
|
|
- |
19,828 |
- |
19,828 |
- |
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|
PROY
ODONT.MUJ-HOMB.ESCAZOS RECURSOS |
|
|
12,909 |
110,445 |
6,266 |
33,952 |
76,493 |
|
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PROG.RESOLUCION
ESPECIALIDADES |
|
|
- |
91,128 |
6,458 |
48,614 |
42,514 |
|
|
PROY.SALAS IRA-ERA |
|
825 |
14,018 |
- |
10,714 |
3,304 |
|
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PROY.CESFAM
SARMIENTO |
|
- |
14,809 |
1,352 |
8,150 |
6,659 |
|
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CONVENIO
APOYO A LA GESTIO LOCAL AP. |
|
|
- |
76,721 |
1,520 |
76,070 |
651 |
|
|
CONV.CESFAM
CURICO CENTRO |
|
|
- |
27,143 |
2,906 |
2,906 |
24,237 |
|
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CONVENIO
CECOF PROSPERIDAD |
|
|
10,812 |
49,739 |
2,928 |
38,125 |
11,614 |
|
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PROGRAMA
CESFAM LOS NICHES |
|
|
- |
10,956 |
1,831 |
7,365 |
3,591 |
|
|
PROGRAMA PRESBICIA |
|
- |
962 |
- |
931 |
31 |
|
|
CONV.CECOF
DÑA.CARMEN-SARMIENTO |
- |
11,685 |
25 |
2,493 |
9,192 |
|
|
CONV. FONDOS PROMOCION
EN SALUD |
- |
12,460 |
435 |
9,905 |
2,555 |
|
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PROGRAMA CESFAM SOL DE
SEPTBRE. |
- |
10,767 |
1,115 |
1,115 |
9,652 |
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PROGRAMA CESFAM COLON |
|
|
- |
- |
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TOTALES |
|
|
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30,986 |
669,478 |
38,106 |
451,903 |
217,575 |
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