Servicio | Crédito Inicial | Modificaciones | Créd. Definitivo | Gtos.Comprometidos | Oblig.Recon.Netas | Reman.de Crédito | Pagos | Oblig.Pend.Pago |
---|---|---|---|---|---|---|---|---|
1301 SECRETARÍA GENERAL | 13.949.390,00 | 9.000,00- | 13.940.390,00 | 8.938.344,80 | 798.356,75 | 13.142.033,25 | 651.157,50 | 147.199,25 |
1302 D.G. FUNCIÓN PÚBLICA Y CALIDAD SERVICIOS | 16.491.774,00 | 122.213,37 | 16.613.987,37 | 1.753.125,59 | 994.920,67 | 15.619.066,70 | 963.575,52 | 31.345,15 |
1303 D.G. DE PRESUPUESTOS Y FONDOS EUROPEOS | 7.234.495,00 | 6.000,00 | 7.240.495,00 | 334.404,35 | 292.032,35 | 6.948.462,65 | 290.801,59 | 1.230,76 |
1304 D.G. DE INFORMÁTICA, PATRIM Y TELECOMUN | 75.338.952,00 | 75.338.952,00 | 33.149.263,98 | 7.339.145,19 | 67.999.806,81 | 4.950.481,03 | 2.388.664,16 | |
1305 INTERVENCIÓN GENERAL | 5.700.490,00 | 5.700.490,00 | 776.362,26 | 487.898,01 | 5.212.591,99 | 485.259,30 | 2.638,71 | |
1306 D.G. ADMINISTRACIÓN LOCAL | 12.348.453,00 | 3.000,00 | 12.351.453,00 | 130.190,50 | 130.190,50 | 12.221.262,50 | 121.732,60 | 8.457,90 |
Total | 131.063.554,00 | 122.213,37 | 131.185.767,37 | 45.081.691,48 | 10.042.543,47 | 121.143.223,90 | 7.463.007,54 | 2.579.535,93 |