**  001  000  *  PREFEITURA MUNICIPAL DE CHAPADA                                         DATA EMISSAO: 18/01/2022  PAGINA       1 **                                                                     ****  TCHE  ***  ST7  LRDS  *****************  RECEITAS E DESPESAS C/ASPS AP. 2020       HORA EMISSAO:   16:51:    *********                                                                            PODER EXECUTIVO DE CHAPADA - RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA                                                                                                                                RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA - DEMONSTRATIVO DAS RECEITAS E DESPESAS COM ACOES E SERVICOS PUBLICOS DE SAUDE - ORCAMENTO FISCAL E DA SEGURIDADE SOCIAL                                    JANEIRO A DEZEMBRO DE 2021                                                                                                                                                                              RREO - ANEXO XII (LC 141/2012 art.35)                                                                                                                                             R$ 1,00               -----------------------------------------------------------------------------------------------------------------------------------------------------                                                                                                                                           |                 |                 |  RECEITAS REALIZADAS                                                         RECEITAS RESULTANTES DE IMPOSTOS E TRANSFERENCIAS CONSTITUCIONAIS E LEGAIS           |    PREVISAO     |    PREVISAO     |-----------------|------                                                                                                                                           |     INICIAL     |  ATUALIZADA(a)  |ATE O BIMESTRE(b)|% b/a                                                    ----------------------------------------------------------------------------------------|-----------------|-----------------|-----------------|------                                                   RECEITA DE IMPOSTOS (I)                                                                 |     2.718.000,00|     3.766.500,00|     3.245.421,08| 86,17                                                     Receita Resultante do Imposto Predial e Territorial Urbano - IPTU                     |       548.900,00|       582.400,00|       523.228,45| 89,84                                                       IPTU                                                                                |       538.900,00|       572.400,00|       511.375,35| 89,34                                                       Multas, Juros de Mora, Divida Ativa e Outros Encargos do IPTU                       |        10.000,00|        10.000,00|        11.853,10|118,53                                                     Receita Resultante do Imposto sobre Transmissao Inter Vivos - ITBI                    |       695.000,00|     1.678.200,00|     1.238.828,03| 73,82                                                       ITBI                                                                                |       100.000,00|     1.083.200,00|     1.238.828,03|114,37                                                       Multas, Juros de Mora, Divida Ativa e Outros Encargos do ITBI                       |       595.000,00|       595.000,00|                 |                                                           Receita Resultante do Imposto sobre Servicos de Qualquer Natureza - ISS               |       724.100,00|       730.100,00|       695.120,58| 95,21                                                       ISS                                                                                 |       715.100,00|       721.100,00|       684.613,22| 94,94                                                       Multas, Juros de Mora, Divida Ativa e Outros Encargos do ISS                        |         9.000,00|         9.000,00|        10.507,36|116,75                                                     IRRF-Receita de Imposto sobre a Renda e Proventos de Qualquer Natureza Retido na Fonte|       750.000,00|       775.800,00|       788.244,02|101,60                                                   RECEITA DE TRANSFERENCIAS CONSTITUCIONAIS E LEGAIS (II)                                 |    26.474.000,00|    30.153.500,00|    35.375.662,47|117,32                                                     Cota-Parte FPM                                                                        |     8.380.000,00|     9.322.000,00|    11.171.903,20|119,84                                                     Cota-Parte ITR                                                                        |     1.989.000,00|     1.989.000,00|     1.817.749,30| 91,39                                                     Cota-Parte IPVA                                                                       |     1.880.000,00|     1.880.000,00|     2.224.574,18|118,33                                                     Cota-Parte ICMS                                                                       |    14.017.000,00|    16.754.500,00|    19.943.897,79|119,04                                                     Cota-Parte IPI-Exportacao                                                             |       198.000,00|       198.000,00|       217.538,00|109,87                                                     Compensacoes Financeiras Provenientes de Impostos e Transferencias Constitucionais    |        10.000,00|        10.000,00|                 |                                                             Desoneracao ICMS - LC 87/1996                                                       |        10.000,00|        10.000,00|                 |                                                             Outras                                                                              |                 |                 |                 |                                                         ----------------------------------------------------------------------------------------|-----------------|-----------------|-----------------|------                                                   TOTAL (III) = (I) + (II)                                                                |    29.192.000,00|    33.920.000,00|    38.621.083,55|113,86                                                   -----------------------------------------------------------------------------------------------------------------------------------------------------                                                    ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------                                                                        |                 |                 |   DESPESAS EMPENHADAS  | DESPESAS LIQUIDADAS    |     DESPESAS PAGAS     |  INSCRICAO EM             DESPESAS COM ACOES E SERVICOS PUBLICOS DE SAUDE (ASPS)       |     DOTACAO     |    DOTACAO      |------------------------|------------------------|------------------------| RESTOS A PAGAR                 POR SUBFUNCAO E CATEGORIA ECONOMICA                     |     INICIAL     |   ATUALIZADA (c)|ATE O BIMESTRE(d)|%(d/c)|ATE O BIMESTRE(e)|%(e/c)|ATE O BIMESTRE(f)|%(f/c)| NAO PROCESSAD(g)  ---------------------------------------------------------------------|-----------------|-----------------|-----------------|------|-----------------|------|-----------------|------|-----------------  ATENCAO BASICA (IV)                                                  |     2.277.800,00|     5.220.578,00|     3.923.283,49| 75,15|     3.906.890,39| 74,84|     3.906.801,61| 74,83|        16.393,10    Despesas Correntes                                                 |     2.102.700,00|     4.726.478,00|     3.753.089,45| 79,41|     3.736.696,35| 79,06|     3.736.607,57| 79,06|        16.393,10    Despesas de Capital                                                |       175.100,00|       494.100,00|       170.194,04| 34,45|       170.194,04| 34,45|       170.194,04| 34,45|                   ASSISTENCIA HOSPITALAR E AMBULATORIAL (V)                            |     1.387.400,00|     2.230.700,00|     2.033.356,49| 91,15|     2.010.311,77| 90,12|     2.007.626,12| 90,00|        23.044,72    Despesas Correntes                                                 |     1.387.400,00|     2.230.700,00|     2.033.356,49| 91,15|     2.010.311,77| 90,12|     2.007.626,12| 90,00|        23.044,72    Despesas de Capital                                                |                 |                 |                 |      |                 |      |                 |      |                   SUPORTE PROFILATICO E TERAPEUTICO (VI)                               |       276.900,00|       358.696,00|       312.499,18| 87,12|       312.499,18| 87,12|       312.499,18| 87,12|                     Despesas Correntes                                                 |       276.900,00|       358.696,00|       312.499,18| 87,12|       312.499,18| 87,12|       312.499,18| 87,12|                     Despesas de Capital                                                |                 |                 |                 |      |                 |      |                 |      |                   VIGILANCIA SANITARIA (VII)                                           |        35.000,00|        38.200,00|        26.395,75| 69,10|        26.395,75| 69,10|        26.395,75| 69,10|                     Despesas Correntes                                                 |        35.000,00|        38.200,00|        26.395,75| 69,10|        26.395,75| 69,10|        26.395,75| 69,10|                     Despesas de Capital                                                |                 |                 |                 |      |                 |      |                 |      |                   VIGILANCIA EPIDEMIOLOGICA (VIII)                                     |        92.400,00|       285.270,00|       197.895,45| 69,37|       197.895,45| 69,37|       197.895,45| 69,37|                     Despesas Correntes                                                 |        91.400,00|       284.270,00|       197.895,45| 69,62|       197.895,45| 69,62|       197.895,45| 69,62|                     Despesas de Capital                                                |         1.000,00|         1.000,00|                 |      |                 |      |                 |      |                   ALIMENTACAO E NUTRICAO (IX)                                          |                 |                 |                 |      |                 |      |                 |      |                     Despesas Correntes                                                 |                 |                 |                 |      |                 |      |                 |      |                     Despesas de Capital                                                |                 |                 |                 |      |                 |      |                 |      |                    **  001  000  *  PREFEITURA MUNICIPAL DE CHAPADA                                         DATA EMISSAO: 18/01/2022  PAGINA       2 **                                                                     ****  TCHE  ***  ST7  LRDS  *****************  RECEITAS E DESPESAS C/ASPS AP. 2020       HORA EMISSAO:   16:51:    *********                                                                            PODER EXECUTIVO DE CHAPADA - RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA                                                                                                                                RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA - DEMONSTRATIVO DAS RECEITAS E DESPESAS COM ACOES E SERVICOS PUBLICOS DE SAUDE - ORCAMENTO FISCAL E DA SEGURIDADE SOCIAL                                    JANEIRO A DEZEMBRO DE 2021                                                                                                                                                                              RREO - ANEXO XII (LC 141/2012 art.35)                                                                                                                                             R$ 1,00               ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------  OUTRAS SUBFUNCOES (X)                                                |       308.800,00|       360.350,00|       250.513,91| 69,52|       249.098,02| 69,13|       248.715,54| 69,02|         1.415,89    Despesas Correntes                                                 |       308.800,00|       360.350,00|       250.513,91| 69,52|       249.098,02| 69,13|       248.715,54| 69,02|         1.415,89    Despesas de Capital                                                |                 |                 |                 |      |                 |      |                 |      |                   ---------------------------------------------------------------------|-----------------|-----------------|-----------------|------|-----------------|------|-----------------|------|-----------------  TOTAL (XI) = (IV + V + VI + VII + VIII + IX + X)                     |     4.378.300,00|     8.493.794,00|     6.743.944,27| 79,40|     6.703.090,56| 78,92|     6.699.933,65| 78,88|        40.853,71  ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------  ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------                                               APURACAO DO CUMPRIMENTO DO LIMITE MINIMO PARA APLICACAO EM ASPS                                    |    DESPESAS     |    DESPESAS     |     DESPESAS                                                                                                                                                      |   EMPENHADAS (d)|   LIQUIDADAS (e)|      PAGAS (f)    ------------------------------------------------------------------------------------------------------------------------------------------------|-----------------|-----------------------------------  Total das Despesas com ASPS (XII) = (XI)                                                                                                        |     6.743.944,27|     6.703.090,56|     6.699.933,65  (-) Restos a Pagar Nao Processados Inscritos Indevidamente no Exerci    cio sem Disponibilidade Financeira (XI                                  |                 |                 |                   (-) Despesas Custeadas com Recursos Vinculados a Parcela do Percentual Minimo que nao foi Aplicada em ASPS em Exercicios Anteriores (XIV)       |                 |                 |                   (-) Despesas Custeadas com Disponibilidade de Caixa Vinculada aos Restos a Pagar Cancelados (XV)                                                |                 |                 |                   ------------------------------------------------------------------------------------------------------------------------------------------------|-----------------|-----------------------------------  (=) VALOR APLICADO EM ASPS (XVI) = (XII - XIII - XIV - XV)                                                                                      |     6.743.944,27|     6.703.090,56|     6.699.933,65  ------------------------------------------------------------------------------------------------------------------------------------------------|-----------------|-----------------------------------  Despesa Minima a ser Aplicada em ASPS (XVII) = (III) x 15% (LC 141/2012)                                                                        |     5.793.162,53|                 |                   ------------------------------------------------------------------------------------------------------------------------------------------------|-----------------|-----------------------------------  Diferenca entre o Valor Aplicado e a Despesa Minima a ser Aplicada (XVIII) = (XVI (d ou e) - XVII)                                              |       950.781,74|                 |                   ------------------------------------------------------------------------------------------------------------------------------------------------|-----------------|-----------------------------------  PERCENTUAL DA RECEITA DE IMPOSTOS E TRANSFERENCIAS CONSTITUCIONAIS E LEGAIS APLICADO EM ASPS (XVI / III)*100 (minimo de 15% conforme LC 141/2012|            17,46|                 |                   ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------  ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------                                                                                                              |                            L I M I T E   N A O   C U M P R I D O                                                                                                                                      |-----------------------------------------------------------------------------------------                     CONTROLE DO VALOR REFERENTE AO PERCENTUAL MINIMO NAO CUMPRIDO EM EXERCICIOS ANTERIORES   |SALDO INICIAL NO |    DESPESAS CUSTEADAS NO EXERCICIO DE REFERENCIA    |   SALDO FINAL                        PARA FINS DE APLICACAO DOS RECURSOS VINCULADOS CONFORME ARTIGOS 25 E 26 DA LC 141/2012   |EXERCICIO ATUAL  |-----------------------------------------------------| (NAO APLICADO)                                                                                                                |      (h)        |   EMPENHADAS (i)| LIQUIDADAS (j)  |    PAGAS (k)    | (l)=(h-(i ou j))                    ------------------------------------------------------------------------------------------|-----------------|-----------------|-----------------|-----------------|-----------------                                                                                                              |                 |                 |                 |                 |                                     ------------------------------------------------------------------------------------------|-----------------|-----------------|-----------------|-----------------|-----------------                    TOTAL DA DIFERENCA DE LIMITE NAO CUMPRIDO EM EXERCICIOS ANTERIORES (XX)                   |                 |                 |                 |                 |                                     ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------                     **  001  000  *  PREFEITURA MUNICIPAL DE CHAPADA                                         DATA EMISSAO: 18/01/2022  PAGINA       3 **                                                                     ****  TCHE  ***  ST7  LRDS  *****************  RECEITAS E DESPESAS C/ASPS AP. 2020       HORA EMISSAO:   16:51:    *********                                                                            PODER EXECUTIVO DE CHAPADA - RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA                                                                                                                                RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA - DEMONSTRATIVO DAS RECEITAS E DESPESAS COM ACOES E SERVICOS PUBLICOS DE SAUDE - ORCAMENTO FISCAL E DA SEGURIDADE SOCIAL                                    JANEIRO A DEZEMBRO DE 2021                                                                                                                                                                              RREO - ANEXO XII (LC 141/2012 art.35)                                                                                                                                             R$ 1,00               ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------  -----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------                                                                                      CONTROLE DA EXECUCAO DOS RESTOS A PAGAR                                                                              -----------------|-----------------|-----------------|-----------------|-----------------|-----------------|-----------------|-----------------|-----------------|-----------------|-----------------                    |                 |                 | VALOR APLICADO  |                 | RPNP INSCRITOS  |VALOR INSCRITO EM|                 |                 |                 |DIFERENCA ENTRE O       EXERCICIO    |   VALOR MINIMO  | VALOR APLICADO  | ALEM DO LIMITE  | TOTAL INSCRITO  |INDEVIDAMENTE NO |RP CONSIDERADO NO|    TOTAL DE     |    TOTAL DE     |    TOTAL DE     |  VALOR APLICADO            DO       | PARA APLICACAO  |     EM ASPS     |     MINIMO      |EM RESTOS A PAGAR| EXERCICIO SEM   |      LIMITE     |  RESTOS A PAGAR |  RESTOS A PAGAR |  RP CANCELADOS  |ALEM DO LIMITE E         EMPENHO     |     EM ASPS     |  NO EXERCICIO   | (o) =(n - m);   |   NO EXERCICIO  | DISPONIBILIDADE | (r)=(p - (o+q));|      PAGOS      |     A PAGAR     |  OU PRESCRITOS  |  O TOTAL DE RP                      |    (m)          |      (n)        | se < 0, entao   |       (p)       |   FINANCEIRA    |   se < 0,       |       (s)       |       (t)       |       (u)       |    CANCELADOS                       |                 |                 |    (o) = 0      |                 | (q) = (XIII d)  | entao (r) = 0   |                 |                 |                 | (v)=((o+q)-u))     -----------------|-----------------|-----------------|-----------------|-----------------|-----------------|-----------------|-----------------|-----------------|-----------------|-----------------   EMPENHOS DE 2020 |     4.508.111,95|     5.096.410,32|       588.298,37|        20.053,03|                 |        20.053,03|        14.118,55|         3.092,10|         2.842,38|       585.455,99   -----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------   TOTAL DOS RESTOS A PAGAR CANCELADOS OU PRESCRITOS ATE O FINAL DO EXERCICIO ATUAL QUE AFETARAM O CUMPRIMENTO DO LIMITE (XXI) (soma dos saldos negativos da coluna ?v?)              |                    -----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------   TOTAL DOS RESTOS A PAGAR CANCELADOS OU PRESCRITOS ATE O FINAL DO EXERCICIO ANTERIOR QUE AFETARAM O CUMPRIMENTO DO LIMITE (XXII)                                                    |                    -----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------   TOTAL DOS RESTOS A PAGAR CANCELADOS OU PRESCRITOS NO EXERCICIO ATUAL QUE AFETARAM O CUMPRIMENTO DO LIMITE (XXIII) = (XXI - XXII) (Artigo 24 par.1 e 2 da LC 141/2012)              |                    -----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------   -----------------------------------------------------------------------------------------------------------------------------------------------------                                                                                                                                           |                 |                 |  RECEITAS REALIZADAS                                                      RECEITAS ADICIONAIS PARA O FINANCIAMENTO DA SAUDE NAO COMPUTADAS NO CALCULO DO MINIMO   |    PREVISAO     |    PREVISAO     |-----------------|------                                                                                                                                           |     INICIAL     |  ATUALIZADA(a)  |ATE O BIMESTRE(b)|% b/a                                                    ----------------------------------------------------------------------------------------|-----------------|-----------------|-----------------|------                                                   RECEITAS DE TRANSFERENCIAS PARA A SAUDE (XXVIII)                                        |     2.270.000,00|     2.903.696,00|     3.888.209,88|133,91                                                     Proveniente da Uniao                                                                  |     1.595.000,00|     2.144.143,00|     2.477.127,75|115,53                                                     Proveniente dos Estados                                                               |       675.000,00|       759.553,00|     1.411.082,13|185,78                                                     Proveniente de outros Municipios                                                      |                 |                 |                 |                                                         RECEITA DE OPERACOES DE CREDITO INTERNAS E EXTERNAS VINCULADAS A SAUDE (XXIX)           |       310.000,00|       602.474,73|       500.795,11| 83,12                                                   OUTRAS RECEITAS (XXX)                                                                   |        16.700,00|        16.700,00|        71.578,56|428,61                                                   ----------------------------------------------------------------------------------------|-----------------|-----------------|-----------------|------                                                   TOTAL DE RECEITAS ADICIONAIS PARA FINANCIAMENTO DA SAUDE (XXXI) = (XXVIII + XXIX + XXX) |     2.596.700,00|     3.522.870,73|     4.460.583,55|126,62                                                   -----------------------------------------------------------------------------------------------------------------------------------------------------                                                   ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------                                                                       |                 |                 |   DESPESAS EMPENHADAS  | DESPESAS LIQUIDADAS    |     DESPESAS PAGAS     |  INSCRICAO EM     DESPESAS COM SAUDE POR SUBFUNCOES E CATEGORIA ECONOMICA NAO          |     DOTACAO     |    DOTACAO      |------------------------|------------------------|------------------------| RESTOS A PAGAR    COMPUTADAS NO CALCULO DO MINIMO                                      |     INICIAL     |   ATUALIZADA (c)|ATE O BIMESTRE(d)|%(d/c)|ATE O BIMESTRE(e)|%(e/c)|ATE O BIMESTRE(f)|%(f/c)| NAO PROCESSAD(g)  ---------------------------------------------------------------------|-----------------|-----------------|-----------------|------|-----------------|------|-----------------|------|-----------------  ATENCAO BASICA (XXXII)                                               |     3.642.550,00|     3.232.920,73|     2.789.360,54| 86,28|     2.788.820,54| 86,26|     2.775.228,12| 85,84|           540,00    Despesas Correntes                                                 |     3.115.950,00|     2.503.646,00|     2.213.643,86| 88,42|     2.213.103,86| 88,40|     2.199.511,44| 87,85|           540,00    Despesas de Capital                                                |       526.600,00|       729.274,73|       575.716,68| 78,94|       575.716,68| 78,94|       575.716,68| 78,94|                   ASSISTENCIA HOSPITALAR E AMBULATORIAL (XXXIII)                       |       413.800,00|       460.707,00|       439.047,81| 95,30|       439.047,81| 95,30|       435.633,53| 94,56|                     Despesas Correntes                                                 |       413.800,00|       460.707,00|       439.047,81| 95,30|       439.047,81| 95,30|       435.633,53| 94,56|                     Despesas de Capital                                                |                 |                 |                 |      |                 |      |                 |      |                   SUPORTE PROFILATICO E TERAPEUTICO (XXXIV)                            |       102.700,00|       234.093,00|       187.105,26| 79,93|       187.105,26| 79,93|       187.105,26| 79,93|                     Despesas Correntes                                                 |       102.700,00|       234.093,00|       187.105,26| 79,93|       187.105,26| 79,93|       187.105,26| 79,93|                     Despesas de Capital                                                |                 |                 |                 |      |                 |      |                 |      |                   VIGILANCIA SANITARIA (XXXV)                                          |        29.500,00|        30.000,00|        15.713,90| 52,38|        15.713,90| 52,38|        15.490,93| 51,64|                     Despesas Correntes                                                 |        29.500,00|        30.000,00|        15.713,90| 52,38|        15.713,90| 52,38|        15.490,93| 51,64|                     Despesas de Capital                                                |                 |                 |                 |      |                 |      |                 |      |                   VIGILANCIA EPIDEMIOLOGICA (XXXVI)                                    |        58.150,00|       111.648,70|        77.527,00| 69,44|        77.527,00| 69,44|        76.511,73| 68,53|                     Despesas Correntes                                                 |        57.150,00|       111.648,70|        77.527,00| 69,44|        77.527,00| 69,44|        76.511,73| 68,53|                     Despesas de Capital                                                |         1.000,00|                 |                 |      |                 |      |                 |      |                    **  001  000  *  PREFEITURA MUNICIPAL DE CHAPADA                                         DATA EMISSAO: 18/01/2022  PAGINA       4 **                                                                     ****  TCHE  ***  ST7  LRDS  *****************  RECEITAS E DESPESAS C/ASPS AP. 2020       HORA EMISSAO:   16:51:    *********                                                                            PODER EXECUTIVO DE CHAPADA - RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA                                                                                                                                RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA - DEMONSTRATIVO DAS RECEITAS E DESPESAS COM ACOES E SERVICOS PUBLICOS DE SAUDE - ORCAMENTO FISCAL E DA SEGURIDADE SOCIAL                                    JANEIRO A DEZEMBRO DE 2021                                                                                                                                                                              RREO - ANEXO XII (LC 141/2012 art.35)                                                                                                                                             R$ 1,00               ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------  ALIMENTACAO E NUTRICAO (XXXVII)                                      |                 |                 |                 |      |                 |      |                 |      |                     Despesas Correntes                                                 |                 |                 |                 |      |                 |      |                 |      |                     Despesas de Capital                                                |                 |                 |                 |      |                 |      |                 |      |                   OUTRAS SUBFUNCOES (XXXVIII)                                          |        63.000,00|        30.756,18|         8.724,25| 28,37|         8.724,25| 28,37|         8.305,55| 27,00|                     Despesas Correntes                                                 |        63.000,00|        30.756,18|         8.724,25| 28,37|         8.724,25| 28,37|         8.305,55| 27,00|                     Despesas de Capital                                                |                 |                 |                 |      |                 |      |                 |      |                   ---------------------------------------------------------------------|-----------------|-----------------|-----------------|------|-----------------|------|-----------------|------|-----------------  TOTAL (XXXIX)=(XXXII+XXXIII+XXXIV+XXXV+XXXVI+XXXVII+XXXVIII)         |     4.309.700,00|     4.100.125,61|     3.517.478,76| 85,79|     3.516.938,76| 85,78|     3.498.275,12| 85,32|           540,00  ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------  ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------                                                                       |                 |                 |   DESPESAS EMPENHADAS  | DESPESAS LIQUIDADAS    |     DESPESAS PAGAS     |  INSCRICAO EM     DESPESAS TOTAIS COM SAUDE EXECUTADAS COM RECURSOS PROPRIOS E COM     |     DOTACAO     |    DOTACAO      |------------------------|------------------------|------------------------| RESTOS A PAGAR    RECURSOS TRANSFERIDOS DE OUTROS ENTES                                |     INICIAL     |   ATUALIZADA (c)|ATE O BIMESTRE(d)|%(d/c)|ATE O BIMESTRE(e)|%(e/c)|ATE O BIMESTRE(f)|%(f/c)| NAO PROCESSAD(g)  ---------------------------------------------------------------------|-----------------|-----------------|-----------------|------|-----------------|------|-----------------|------|-----------------  ATENCAO BASICA (XL) = (IV + XXXII)                                   |     5.920.350,00|     8.453.498,73|     6.712.644,03| 79,41|     6.695.710,93| 79,21|     6.682.029,73| 79,04|        16.933,10  ASSISTENCIA HOSPITALAR E AMBULATORIAL (XLI) = (V + XXXIII)           |     1.801.200,00|     2.691.407,00|     2.472.404,30| 91,86|     2.449.359,58| 91,01|     2.443.259,65| 90,78|        23.044,72  SUPORTE PROFILATICO E TERAPEUTICO (XLII) = (VI + XXXIV)              |       379.600,00|       592.789,00|       499.604,44| 84,28|       499.604,44| 84,28|       499.604,44| 84,28|                   VIGILANCIA SANITARIA (XLIII) = (VII + XXXV)                          |        64.500,00|        68.200,00|        42.109,65| 61,74|        42.109,65| 61,74|        41.886,68| 61,42|                   VIGILANCIA EPIDEMIOLOGICA (XLIV) = (VIII + XXXVI)                    |       150.550,00|       396.918,70|       275.422,45| 69,39|       275.422,45| 69,39|       274.407,18| 69,13|                   ALIMENTACAO E NUTRICAO (XLV) = (XIX + XXXVII)                        |                 |                 |                 |      |                 |      |                 |      |                   OUTRAS SUBFUNCOES (XLVI) = (X + XXXVIII)                             |       371.800,00|       391.106,18|       259.238,16| 66,28|       257.822,27| 65,92|       257.021,09| 65,72|         1.415,89  ---------------------------------------------------------------------|-----------------|-----------------|-----------------|------|-----------------|------|-----------------|------|-----------------  TOTAL DAS DESPESAS COM SAUDE (XLVII) = (XI + XXXIX)                  |     8.688.000,00|    12.593.919,61|    10.261.423,03| 81,48|    10.220.029,32| 81,15|    10.198.208,77| 80,98|        41.393,71  ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------  (-) Despesas executadas com recursos provenientes das                |                 |                 |                 |      |                 |      |                 |      |                   transferencias de recursos de outros entes                           |     2.596.500,00|     3.863.125,61|     3.300.641,26| 85,44|     3.300.101,26| 85,43|     3.300.074,36| 85,42|           540,00  ---------------------------------------------------------------------|-----------------|-----------------|-----------------|------|-----------------|------|-----------------|------|-----------------  TOTAL DAS DESPESAS EXECUTADAS COM RECURSOS PROPRIOS (XLVIII)         |     6.091.500,00|     8.730.794,00|     6.960.781,77| 79,73|     6.919.928,06| 79,26|     6.898.134,41| 79,01|        40.853,71  ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------   **  001  000  *  PREFEITURA MUNICIPAL DE CHAPADA                                         DATA EMISSAO: 18/01/2022  PAGINA       5 **                                                                     ****  TCHE  ***  ST7  LRDS  *****************  RECEITAS E DESPESAS C/ASPS AP. 2020       HORA EMISSAO:   16:51:    *********                                                                            PODER EXECUTIVO DE CHAPADA - RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA                                                                                                                                RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA - DEMONSTRATIVO DAS RECEITAS E DESPESAS COM ACOES E SERVICOS PUBLICOS DE SAUDE - ORCAMENTO FISCAL E DA SEGURIDADE SOCIAL                                    JANEIRO A DEZEMBRO DE 2021                                                                                                                                                                              RREO - ANEXO XII (LC 141/2012 art.35)                                                                                                                                             R$ 1,00                ___________________________________________ ___________________________________________ ____________________________________________                                                                     GELSON MIGUEL SCHERER                       ERONI MAIER DE ANDRADE                      MARIA CRISTINA DE QUADROS                                                                                       PREFEITO MUNICIPAL                          SECRETARIA DA FAZENDA                       CONTADORA