Estado de Rondonia                        Execucao dos Orcamentos (Art. 2o, Inciso XII) - Despesa por Grupo de Despesas

     Prefeitura Municipal de Porto Velho       Setembro a Outubro de 2012          

   

      Grupo de Despesa                                            Dotacao do           Empenhado           Liquidado           Liquidado

                                                                   Exercicio              No Ano          No Periodo              No Ano

                                                                                                                                       

    DESPESAS CORRENTES                                        851.540.013,34      680.551.400,77      142.262.713,86      608.545.483,64

     PESSOAL E ENCARGOS SOCIAIS                               444.293.661,07      364.472.909,83       83.006.050,49      362.772.505,74

      APLICACOES DIRETAS                                      401.454.229,84      328.409.794,03       75.981.181,36      326.888.487,74

       PENSOES                                                    329.557,00          256.132,76           50.657,62          256.132,76

       CONTRATACAO POR TEMPO DETERMINADO                       13.387.783,23       10.062.626,83        1.378.065,97       10.062.626,83

       SALARIO-FAMILIA                                              5.014,00            1.122,22              207,46            1.122,22

       VENCIMENTOS E VANT.FIXAS - PESSOAL CI                  363.922.191,70      301.859.959,07       72.707.946,01      300.949.275,69

       OBRIGACOES PATRONAIS                                    10.300.346,97        6.857.356,74        1.240.013,56        6.612.436,52

       OUTRAS DESPESAS VARIAVEIS- PESSOAL CI                      184.722,00           88.098,88           16.657,29           79.130,41

       SENTENCAS JUDICIAIS                                      1.462.584,00        1.001.304,74          377.245,42        1.001.304,74

       DESPESAS DE EXERCICIOS ANTERIORES                        5.084.113,11        2.967.023,58           42.877,31        2.961.864,62

       INDENIZACOES TRABALHISTAS                                6.116.510,83        4.766.941,93           94.609,12        4.669.538,86

       RESSARC.DE DESP.DE PESSOAL REQUISITAD                      661.407,00          549.227,28           72.901,60          295.055,09

      APLIC.DIRETAS-OPER.INTRA-ORCAMENTARIAS                   42.839.431,23       36.063.115,80        7.024.869,13       35.884.018,00

       OBRIGACOES PATRONAIS                                    42.014.556,95       35.769.350,70        7.024.869,13       35.590.252,90

       DESPESAS DE EXERCICIOS ANTERIORES                          824.874,28          293.765,10                0,00          293.765,10

     JUROS E ENCARGOS DA DIVIDA                                 7.834.712,00        7.494.969,77        1.278.725,90        6.009.796,41

      APLICACOES DIRETAS                                        7.834.712,00        7.494.969,77        1.278.725,90        6.009.796,41

       JUROS SOBRE A DIVIDA POR CONTRATO                        6.024.384,00        5.969.080,28        1.029.759,32        4.883.170,78

       OUTROS ENCARGOS S/ A DIVIDA POR CONTR                    1.810.328,00        1.525.889,49          248.966,58        1.126.625,63

     OUTRAS DESPESAS CORRENTES                                399.411.640,27      308.583.521,17       57.977.937,47      239.763.181,49

      TRANSFERENCIAS A UNIAO                                      101.280,00          101.280,00                0,00           95.342,00

       CONTRIBUICOES                                              101.280,00          101.280,00                0,00           95.342,00

      TRANSF.A INSTIT.PRIVADAS SEM FINS LUCR                   16.254.746,31       15.255.385,07        3.339.750,19       12.198.755,79

       CONTRIBUICOES                                                3.470,00            3.470,00                0,00            3.470,00

       SUBVENCOES SOCIAIS                                      16.251.276,31       15.251.915,07        3.339.750,19       12.195.285,79

      APLICACOES DIRETAS                                      383.055.613,96      293.226.856,10       54.638.187,28      227.469.083,70

       APOSENTADORIAS E REFORMAS                               21.482.042,00       14.741.093,21        3.059.790,01       14.741.093,21

       PENSOES                                                  6.847.514,00        4.675.767,98          915.810,60        4.675.767,98

       OUTROS BENEFICIOS PREVIDENCIARIOS                        5.200.186,00                0,00                0,00                0,00

       OUTROS BENEFICIOS ASSISTENCIAIS                             84.480,00           54.114,00            9.330,00           54.114,00

       DIARIAS - PESSOAL CIVIL                                  3.280.555,49        2.419.994,16          363.830,86        2.312.181,93

       MATERIAL DE CONSUMO                                     74.580.401,05       55.387.022,69        9.871.999,94       39.667.353,28

       PREMIACOES CULT., ARTIST.,CIENT,DESP.                       68.602,84           54.168,84                0,00           54.168,84

       MATERIAL DE DISTRIBUICAO GRATUITA                        1.842.563,97        1.539.231,56           40.237,09        1.400.337,17

       PASSAGENS E DESPESAS COM LOCOMOCAO                       1.598.804,84        1.343.152,29          213.113,87          857.166,88

       SERVICOS DE CONSULTORIA                                    454.998,88          305.000,04            7.916,67          161.333,36

       OUTROS SERV. DE TERCEIROS-PESSOA FISI                    4.329.558,94        3.164.688,97          557.960,35        2.515.578,74

       LOCACAO DE MAO-DE-OBRA                                           0,00                0,00                0,00                0,00

       OUTROS SERVICOS DE TERC.-PESSOA JURID                  195.824.225,53      152.088.633,94       33.798.294,18      109.388.532,15

       CONTRIBUICOES                                           13.718.881,10       12.551.289,36        2.011.204,15       11.392.524,29

       AUXILIO-ALIMENTACAO                                      1.088.449,00          838.633,45          169.678,00          838.405,30

       OBRIGACOES TRIBUTARIAS E CONTRIBUTIVA                    8.246.814,00        7.936.814,00        1.287.066,44        5.782.587,49

       OUTROS AUXILIOS FINANC. A PESSOA FISI                      279.090,00          276.090,00           43.920,00          233.970,00

       AUXILIO-TRANSPORTE                                      16.685.929,32       12.819.875,89        1.257.146,02       12.797.041,40

       SENTENCAS JUDICIAIS                                      8.982.193,94        7.409.696,14        1.381.670,31        6.260.063,70

       DESPESAS DE EXERCICIOS ANTERIORES                       11.525.134,09        9.492.088,74       -1.475.949,65        9.315.340,37

       INDENIZACOES E RESTITUICOES                              6.935.188,97        6.129.500,84        1.125.168,44        5.021.523,61

                                                                                                                                       

    DESPESAS DE CAPITAL                                       295.537.213,45      158.520.126,78       18.890.481,63       58.870.187,09

     INVESTIMENTOS                                            281.942.663,57      145.925.034,98       16.492.243,08       47.709.935,81

      TRANSF.A INSTIT.PRIVADAS SEM FINS LUCR                            0,00                0,00                0,00                0,00

       AUXILIOS                                                         0,00                0,00                0,00                0,00

      APLICACOES DIRETAS                                      281.942.663,57      145.925.034,98       16.492.243,08       47.709.935,81

       MATERIAL DE CONSUMO                                        556.500,00          556.500,00                0,00          495.364,50

    

    

    

    

     Estado de Rondonia                        Execucao dos Orcamentos (Art. 2o, Inciso XII) - Despesa por Grupo de Despesas

     Prefeitura Municipal de Porto Velho       Setembro a Outubro de 2012          

   

      Grupo de Despesa                                            Dotacao do           Empenhado           Liquidado           Liquidado

                                                                   Exercicio              No Ano          No Periodo              No Ano

                                                                                                                                        

       OBRAS E INSTALACOES                                    244.971.334,63      124.694.928,26       12.876.791,35       32.637.666,11

       EQUIPAMENTOS E MATERIAL PERMANENTE                      33.399.342,28       17.658.195,83        2.595.898,56       12.011.375,99

       AQUISICAO DE IMOVEIS                                     1.934.055,53        1.933.979,76          869.899,13        1.933.979,76

       DESPESAS DE EXERCICIOS ANTERIORES                        1.081.431,13        1.081.431,13          149.654,04          631.549,45

     INVERSOES FINANCEIRAS                                      2.591.000,00        1.650.000,00          348.834,84        1.541.456,05

      APLICACOES DIRETAS                                        2.591.000,00        1.650.000,00          348.834,84        1.541.456,05

       CONCESSAO DE EMPRESTIMOS E FINANCIAM.                    2.585.000,00        1.650.000,00          348.834,84        1.541.456,05

       DESPESAS DE EXERCICIOS ANTERIORES                            6.000,00                0,00                0,00                0,00

     AMORTIZACAO DA DIVIDA                                     11.003.549,88       10.945.091,80        2.049.403,71        9.618.795,23

      APLICACOES DIRETAS                                       11.003.549,88       10.945.091,80        2.049.403,71        9.618.795,23

       PRINCIPAL DA DIVIDA POR CONTRATO                         7.231.747,88        7.187.294,50        1.319.746,00        6.358.383,18

       CORRECAO MONET.CAMBIAL DA DIV.POR CON                    3.771.802,00        3.757.797,30          729.657,71        3.260.412,05

                                                                                                                                        

    RESERVA DE CONTINGENCIA                                    45.378.594,88                0,00                0,00                0,00

                                                                                                                                       

      Total .....................                           1.192.455.821,67      839.071.527,55      161.153.195,49      667.415.670,73