I.MUNICIPALIDAD LOS LAGOS DEP.SALUD
SISTEMA DE CONTABILIDAD GENERAL DE LA NACION
BALANCE DE COMPROBACION Y DE SALDOS
Periodo:        MAYO  de  2016
Cod. Descripcion de la Cuenta Sdo.Ini.Deu Sdo.Ini.Acr Debito mes Credito mes Sdo.Deudor Sdo.Acreedor
| | | | | | | | |
| | ACTIVO | | | | | | |
| 11101 | CAJA | | | $140.698.053 | $140.698.053 | | |
| 11102 | BANCO ESTADO | $227.254.107 | | $140.698.053 | $167.957.284 | $199.994.876 | |
| 11403 | ANTICIPOS A RENDIR CUENTA | $1.819.654 | | | | $1.819.654 | |
| 11405 | APLICACION DE FONDOS EN ADMINISTRACI | $9.917.733 | | | | $9.917.733 | |
| 11406 | ANTICIPOS PREVISIONALES | | $91.641 | | | | $91.641 |
| 11505 | CxC TRANSFERENCIAS CORRIENTES | | | $132.287.664 | $132.287.664 | | |
| 11508 | CXC. OTROS INGRESOS CORRIENTES | | | $8.410.389 | $8.410.389 | | |
| 14101 | EDIFICACIONES | $482.611.463 | | | | $482.611.463 | |
| 14104 | MAQUINAS Y EQUIPOS DE OFICINA | $3.748.500 | | | | $3.748.500 | |
| 14105 | VEHICULOS SALUD | $43.665.996 | | | | $43.665.996 | |
| 14106 | MUEBLES Y ENSERES | $36.239.379 | | $535.500 | | $36.774.879 | |
| 14108 | EQUIPOS COMPUTACIONALES Y PERIFERICO | $8.205.807 | | | | $8.205.807 | |
| 14901 | DEPRECIACION ACUMULADA | | $72.391.910 | | | | $72.391.910 |
| 14905 | DEPRECIACIONES ACUMULADAS DE VEHICU | | $14.064.955 | | | | $14.064.955 |
| 14906 | DEPRECIACIONES ACUMULADAS MUEBLES | | $22.707.186 | | | | $22.707.186 |
| 14908 | DEPRECIACIONES ACUMULADAS DE EQUIPO | | $5.238.264 | | | | $5.238.264 |
| | | | | | | | |
| | PASIVO | | | | | | |
| 21409 | OTRAS OBLIGACIONES FINANCIERAS | | $1.478.825 | | | | $1.478.825 |
| 21410 | RETENCIONES PREVISIONALES | | $2.449.555 | $22.909.583 | $22.909.583 | | $2.449.555 |
| 21411 | RETENCIONES TRIBUTARIAS | | $1.800.381 | $4.260.368 | $4.133.659 | | $1.673.672 |
| 21412 | RETENCIONES VOLUNTARIAS | | $4.927.329 | $8.041.895 | $8.041.895 | | $4.927.329 |
| 21413 | RETENCIONES JUDICIALES Y SIMILARES | | $517.275 | | | | $517.275 |
| 21521 | CxP GASTOS EN PERSONAL | | | $134.652.830 | $134.652.830 | | |
| 21522 | CxP BIENES Y SERVICIOS DE CONSUMO | | $5.609.309 | $32.642.245 | $32.956.643 | | $5.923.707 |
| 21529 | CXP. ADQUISICION DE ACTIVOS NO FINANCI | | $807.534 | $535.500 | $535.500 | | $807.534 |
| 21534 | CXP SERVICIO DE LA DEUDA | | $1.707.862 | | | | $1.707.862 |
| 21601 | DOCUMENTOS CADUCADOS | $48.956 | | | | $48.956 | |
| | | | | | | | |
| | PATRIMONIO | | | | | | |
| 31101 | PATRIMONIO INSTITUCIONAL | | $459.171.508 | | | | $459.171.508 |
| 31102 | RESULTADOS ACUMULADOS | | $79.799.007 | | | | $79.799.007 |
| | | | | | | | |
| | INGRESOS PATRIMONIALES | | | | | | |
| 44103 | TRANSFERENCIAS CORRIENTES DE OTRAS | | $890.204.924 | | $132.287.664 | | $1.022.492.588 |
| 46101 | RECUPERACION Y REEMBOLSOS POR LICEN | | $5.780.201 | | $8.410.389 | | $14.190.590 |
| 46367 | AJUSTE A LOS GASTOS PATR.A¥OS ANTER | $12.725.199 | | | | $12.725.199 | |
| | | | | | | | |
| | GASTOS PATRIMONIALES | | | | | | |
| 53101 | PERSONAL DE PLANTA | $366.586.841 | | $89.378.950 | | $455.965.791 | |
| 53102 | PERSONAL A CONTRATA | $167.975.809 | | $40.249.533 | | $208.225.342 | |
| 53103 | OTRAS REMUNERACIONES | $12.038.849 | | $5.024.347 | | $17.063.196 | |
| 53203 | COMBUSTIBLES Y LUBRICANTES | $7.983.661 | | | | $7.983.661 | |
| 53204 | MATERIALES DE USO O CONSUMO | $32.340.782 | | $5.444.003 | | $37.784.785 | |
| 53205 | SERVICIOS BASICOS | $20.247.876 | | $2.586.889 | | $22.834.765 | |
| 53206 | MANTENIMIENTO Y REPARACIONES | $4.215.180 | | $2.602.501 | | $6.817.681 | |
| 53207 | PUBLICIDAD Y DIFUSION | $460.433 | | $225.342 | | $685.775 | |
| 53208 | SERVICIOS GENERALES | $1.788.661 | | $58.980 | | $1.847.641 | |
| 53209 | ARRIENDOS | $1.434.500 | | | | $1.434.500 | |
| 53210 | SERVICIOS FINANCIEROS Y DE SEGUROS | $1.637.888 | | $551.371 | | $2.189.259 | |
| 53211 | SERVICIOS TECNICOS Y PROFESIONALES | $30.210.735 | | $7.403.818 | | $37.614.553 | |
| 53212 | OTROS GASTOS EN BIENES Y SERVICIOS D | $95.589.657 | | $14.083.739 | | $109.673.396 | |
| | | | | | | | |
| | | | | | | | |
| | Totales del periodo | $1.568.747.666 | $1.568.747.666 | $793.281.553 | $793.281.553 | $1.709.633.408 | $1.709.633.408 |