Summary of Local Municipal and Supra-municipal bodies consolidated with small local entities. Expenditure (euros). 2022

Share facebook Share twitter Share email Excel csv Use all available width
Euskal Estatistika Erakundea/Instituto Vasco de Estadística
Product list
              
 TOTAL4.784.235.2763.673.121.6393.408.913.216737.866.307589.537.555546.146.6682.314.183.8361.837.377.6391.695.667.5041.732.185.1331.246.206.4451.167.099.044
              
1. EXPENDITURE ON PERSONNEL 1.240.566.7641.194.057.1871.184.883.374219.857.849217.357.971216.485.795619.772.335590.391.407583.930.134400.936.580386.307.809384.467.445
 10. HIGH POSITIONS. :28.287.36727.825.61727.724.6413.495.6963.480.7093.472.54314.083.15113.817.98213.747.70010.708.52010.526.92610.504.398
 11. TEMPORARY CABINET PERSONNEL. :10.118.03810.242.76210.242.7332.073.3762.225.1302.225.1305.841.3775.460.4295.460.4292.203.2852.557.2032.557.174
 12. PUBLIC AND STATUTARY SERVANTS. :684.789.796670.433.636669.589.036116.022.786114.049.992114.027.094328.033.445318.839.467318.572.381240.733.565237.544.177236.989.561
 13. WORKING PERSONNEL. :186.142.673179.598.811178.809.42417.473.03116.534.32016.495.308120.930.902117.728.512117.491.46247.738.74045.335.97944.822.654
 14. OTHER PERSONNEL. :24.718.18823.122.19823.120.48424.139.11522.960.38822.960.388000579.073161.810160.096
 . :306.510.702282.834.163275.397.05656.653.84558.107.43257.305.332150.883.460134.545.017128.658.16298.973.39790.181.71489.433.562
              
2. EXPENSES IN GOODS AND SERVICES 1.632.571.7241.423.796.2021.278.061.017245.418.271221.181.609191.534.885836.436.381731.692.739656.921.630550.717.072470.921.854429.604.502
 20. LEASEHOLDS. :23.144.14320.038.81318.415.9875.178.8364.786.9674.413.28010.326.7298.894.9258.029.7847.638.5786.356.9215.972.923
 21. REPAIRS, MAINTENANCE AND PRESERVATION. :163.203.400138.990.936124.991.47421.839.53217.383.16015.425.35498.442.23486.868.52178.342.40142.921.63434.739.25531.223.719
 22. MATERIAL, SUPPLIES AND OTHERS. :1.437.621.5291.257.754.7891.128.059.459216.992.138197.871.282170.622.728722.918.910632.019.939566.877.307497.710.481427.863.568390.559.424
 23. DOMPENSATION BY NATURE OF SERVICE. :8.602.6527.011.6646.594.0971.407.7651.140.2001.073.5234.748.5083.909.3543.672.1382.446.3791.962.1101.848.436
              
3. FINANCIAL COSTS 7.050.6756.127.0426.080.2502.041.0821.990.0631.959.9112.554.9712.176.2842.174.4072.454.6221.960.6951.945.932
 30. OF SHORT TERM DEBT. :000000000000
 31. OF LONG TERM DEBT. :000000000000
 32. OF SHORT TERM LOANS. :63.4914.0194.01910.8004.0194.01950.451002.24000
 33. OF LONG TERM LOANS. :2.100.3231.733.7991.730.518700.424686.265682.993493.786335.009335.009906.113712.525712.516
 36. FROM DEPOSITS, SURETIES, GUARANTEES AND OTHERS. :4.886.8614.389.2244.345.7131.329.8581.299.7791.272.8992.010.7341.841.2751.839.3981.546.2691.248.1701.233.416
              
4. CURRENT TRANSFERS 498.340.014436.266.834407.957.15662.767.96754.653.20750.354.974236.283.105218.386.342209.679.703199.288.942163.227.285147.922.479
 40. TO THE STATE. :353.119335.760325.721127.084122.515122.476220.635208.282198.2825.4004.9634.963
 41. TO THE BASQUE COUNTRY. :1.871.9721.728.8571.369.853857.329800.678460.317787.721734.418715.904226.922193.761193.632
 420. To the Provincial Council and its bodies3.378.6212.925.0271.965.07811.9663.1203.1203.232.7482.856.9871.897.038133.90764.92064.920
 42199. To Consortiums4.091.2813.997.3253.807.529876.079831.278683.5722.539.0952.484.8082.483.018676.107681.239640.939
 432. Public Business Entities000000000000
 433. To public companies belonging to the organization176.520.337167.104.947157.306.94018.229.45218.220.59918.220.59974.265.85971.882.32071.392.47084.025.02677.002.02867.693.871
 435. To other dependet entities000000000000
 436. To other entities9.484.2259.386.1909.374.3100007.787.3307.786.1897.786.1891.696.8951.600.0011.588.121
 47. TO BUSINESSES. :81.611.50172.332.66269.632.575854.904682.930470.84149.722.63446.645.08746.028.15031.033.96325.004.64523.133.584
 48. TO FAMILIES AND INSTITUTIONS WITHOUT LUCRATIVE ENDS. :219.198.803176.921.105162.691.29341.694.64033.899.31530.322.70096.400.46384.693.71978.103.07081.103.70058.328.07154.265.523
 49. TO THE EXTERIOR. :1.830.1551.534.9611.483.857116.51392.77271.3491.326.6201.094.5321.075.582387.022347.657336.926
              
5. CONTINGENCY FUND AND OTHER UNFORESEEN 3.432.50500219.946001.658.173001.554.38600
 50. COMPLEMENT TO THE CONTINGENCY FUND OF BUDGET IMPLEMENTATION. :3.432.50500219.946001.658.173001.554.38600
              
6. REAL INVESTMENT 1.226.023.070506.000.684428.799.044181.680.04175.006.34766.861.673560.841.536247.262.623198.093.854483.501.493183.731.714163.843.517
 60. INVESTMENT IN INFRASTRUCTURE AND GOODS DESTINED FOR GENERAL NON-PRODUCTIVE USE. :625.235.069265.492.561224.218.71394.973.68933.450.37929.845.459311.118.800141.678.830113.074.544219.142.58090.363.35281.298.710
 62. INVESTMENT ASSOCIATED WITH OPERATION OF THE SERVICES. :504.611.689196.474.163166.269.44868.340.69430.779.69926.747.331207.039.04484.181.85567.121.674229.231.95181.512.60972.400.443
 64. EXPENDITURE ON IMMATERIAL INVESTMENTS. :53.183.41118.008.50915.322.5979.754.8734.314.2013.889.58522.102.3677.338.6646.166.28021.326.1716.355.6445.266.732
 65. INVESTMENT MANAGED FOR OTHER PUBLIC ENTITIES. :1.181.771893.155575.6530001.049.771747.785430.283132.000145.370145.370
 68. EXPENDITURE ON PATRIMONIAL GOODS INVESTMENT. :27.853.72515.458.07113.031.1851.687.608596.886539.36318.529.57412.503.64110.625.4537.636.5432.357.5441.866.369
 69. INVESTMENT IN TOWN GOODS13.957.4059.674.2259.381.4486.923.1775.865.1825.839.9351.001.980811.848675.6206.032.2482.997.1952.865.893
              
7. CAPITAL TRANSFERS 109.381.25245.398.91942.070.44610.667.8784.424.6224.087.66631.096.97224.093.72321.802.12767.616.40216.880.57416.180.653
 70. TO THE STATE. :18.715.65200000785.0000017.930.65200
 71. TO THE BASQUE COUNTRY. :7.621.7843.371.4083.122.0653.258.2991.046.8571.046.857772.463680.752680.7523.591.0221.643.7991.394.456
 720. To the Provincial Council and its bodies794.789229.149130.160332.13798.989049.47200413.180130.160130.160
 72199. To Consortiums2.217.5911.993.8891.993.654100312.200312.181312.1811.905.3901.681.7081.681.473
 732. Public Business Entities000000000000
 733. To public companies belonging to the organization44.831.86126.061.22524.483.6065.429.3512.820.9012.820.90117.335.83714.779.65013.308.52422.066.6738.460.6748.354.181
 735. To other dependet entities000000000000
 736. To other entitites2.876.6822.874.9532.874.9530002.876.6822.874.9532.874.953000
 77. TO BUSINESSES. :7.753.0242.457.6651.840.71596.46843.82543.0641.990.0541.528.600927.5555.666.502885.240870.096
 78. TO FAMILIES AND INSTITUTIONS WITHOUT LUCRATIVE ENDS. :24.558.7178.400.4787.615.1411.544.470406.898169.6926.971.2643.914.5873.695.16216.042.9834.078.9933.750.287
 79. TO THE EXTERIOR. :11.15210.15210.1527.1527.1527.1524.0003.0003.000000
              
8. FINANCIAL ASSETS 5.577.4103.374.3553.022.249436.884267.644209.6533.306.1851.853.3481.559.2331.834.3411.253.3631.253.363
 80. ACQUISITION OF SHORT TERM DEBT. :000000000000
 81. ACQUISITION OF SHORT LONG DEBT. :000000000000
 82. CONCESSION OF SHORT TERM ADVANCES AND LOANS. :840.128265.435265.43537.900419419526.472137.828137.828275.756127.188127.188
 83. CONCESSION OF LONG TERM ADVANCES AND LOANS. :1.844.490685.825672.500118.00011.2595.8501.271.718516.029508.113454.772158.537158.537
 85. ACQUISITION OF SHORT. :1.179.297919.554863.97277.70052.682100193.5003.0000908.097863.872863.872
 86. DEPOSIT AND SECURITY LODGEMENTS. :1.219.2581.009.304726.105173.284173.284173.284850.258732.254449.055195.716103.766103.766
 87. ECONOMIC CONTRIBUTIONS. :494.237494.237494.23730.00030.00030.000464.237464.237464.237000
              
9. PASSIVE FINANCING 61.291.86258.100.41658.039.68014.776.38914.656.09214.652.11122.234.17821.521.17321.506.41624.281.29521.923.15121.881.153
 90. AMORTIZATION OF SHORT TERM DEBT. :000000000000
 91. LONG TERM DEBT AMORTIZATION. :000000000000
 92. AMORTIZATION OF SHORT TERM LOANS. :992.645942.971942.97127.97127.89627.896964.674915.075915.075000
 93. AMORTIZATION OF LONG TERM LOANS. :60.299.21757.157.44557.096.70914.748.41814.628.19614.624.21521.269.50420.606.09820.591.34124.281.29521.923.15121.881.153

Date June 21, 2024

Source: Eustat. Public sector budgetary statistics

Inglés
Product data

Other statistical products

Your feedback.  Help us to make our web better

How would you rate the information on the site?
Very useful
Useful
Barely useful
Not useful at all
Would you like to make a suggestion?
Yes, I would
Send