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                                                  SISTEMA DE CONTABILIDADE PUBLICA                             EXERCICIO:       2004

CAMARA MUNICIPAL DE AREADO                                                                                     PAGINA...:     000001

RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA                    DEZEMBRO                                        DATA.....: 28/12/2004

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                                    Artigo 52, Incisos I e II, Alineas "a" e "b", da LC. 101/00

 

                                  COMPARATIVO DAS RECEITAS CORRENTES COM AS DESPESAS CORRENTES

 

 RECEITAS CORRENTES                       --------------PREVISAO------------- -------------REALIZACAO------------        PREVISAO A

                                          -----INICIAL----- ----ATUALIZADA--- -------MES------- ----EXERCICIO----          REALIZAR

 

 TRANSFERENCIAS CORRENTES                        390.000,00        390.000,00         31.570,16        367.021,73         22.978,27

                                          ----------------- ----------------- ----------------

 SUB-TOTAL >--------------------------->         390.000,00        390.000,00         31.570,16        367.021,73         22.978,27

 T O T A L                                                                                             367.021,73

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 DESPESAS CORRENTES                       --------------DOTACAO-------------- -------------EMPENHADA-------------           SALDO A

                                          -----INICIAL----- ----ATUALIZADA--- -------MES------- ----EXERCICIO----          EMPENHAR

 

 PESSOAL E ENCARGOS SOCIAIS                      291.000,00        291.000,00         18.931,98        232.122,91         58.877,09

 OUTRAS DESPESAS CORRENTES                        80.600,00         80.600,00          5.993,40         23.447,21         57.152,79

                                          ----------------- ----------------- ----------------

 SUB-TOTAL >--------------------------->         371.600,00        371.600,00         24.925,38        255.570,12        116.029,88

 SUPERAVIT CORRENTE                                                                                    111.451,61

 T O T A L                                                                                             367.021,73

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                                 COMPARATIVO DAS RECEITAS DE CAPITAL COM AS DESPESAS DE CAPITAL

 

 RECEITAS DE CAPITAL                      --------------PREVISAO------------- -------------REALIZACAO------------        PREVISAO A

                                          -----INICIAL----- ----ATUALIZADA--- -------MES------- ----EXERCICIO----          REALIZAR

 

                                          ----------------- ----------------- ----------------

 SUB-TOTAL >--------------------------->               0,00              0,00              0,00              0,00              0,00

 DEFICIT DE CAPITAL                                                                                      3.568,00

 T O T A L                                                                                               3.568,00

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 DESPESAS DE CAPITAL                      --------------DOTACAO-------------- -------------EMPENHADA-------------           SALDO A

                                          -----INICIAL----- ----ATUALIZADA--- -------MES------- ----EXERCICIO----          EMPENHAR

 

 INVESTIMENTOS                                    19.000,00         19.000,00          1.340,00          3.568,00         15.432,00

                                          ----------------- ----------------- ----------------

 SUB-TOTAL >--------------------------->          19.000,00         19.000,00          1.340,00          3.568,00         15.432,00

 T O T A L                                                                                               3.568,00

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 RECEITAS DE DEDUCAO                      --------------PREVISAO------------- -------------REALIZACAO------------        PREVISAO A

                                          -----INICIAL----- ----ATUALIZADA--- -------MES------- ----EXERCICIO----          REALIZAR

 

                                          ----------------- ----------------- ----------------

 SUB-TOTAL >--------------------------->               0,00              0,00              0,00              0,00              0,00

 

 

==============================================================================================

                                                            R E S U M O:

                                                            ------------

RECEITAS CORRENTES                                    367.021,73   DESPESAS CORRENTES                                    255.570,12

RECEITAS DE CAPITAL                                                DESPESAS DE CAPITAL                                     3.568,00

RECEITAS DE DEDUCAO                                            

                                                                   S U P E R A V I T                                     107.883,61

T O T A L                                             367.021,73   T O T A L                                             367.021,73

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CSM - CENTRAL DE SOFTWARE MUNICIPAL LTDA      Dt. Sistema.: 31/12/2004  Hora.: 09:25