**  001  000  *  MUNICIPIO DE SARANDI                                                    DATA EMISSAO: 22/01/2020  PAGINA       1 **                             ****  TCHE  ***  ST7  LDSI  *****************                                            HORA EMISSAO:      08:47  *****************                                                                                   MUNICIPIO DE SARANDI                                                     EXECUTIVO                                                                         RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA                                                                                                        DEMONSTRATIVO SIMPLIFICADO DO RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA                                                                                                         ORCAMENTOS FISCAL E DA SEGURIDADE SOCIAL                                                                                                             JANEIRO A  DEZEMBRO  2019    BIMESTRE:  NOVEMBRO- DEZEMBRO                                                           LRF, art. 48 - Anexo XVIII                                                                                                                            R$ 1,00  --------------------------------------------------------------------------------------------------------------------------------------------------------------                 BALANCO ORCAMENTARIO                                               |                                     |           Ate o Bimestre              ----------------------------------------------------------------------------------|-------------------------------------|-------------------------------------  RECEITAS                                                                          |                                     |                                         Previsao Inicial                                                                |                                     |              85.441.940,49              Previsao Atualizada                                                             |                                     |              88.076.249,92              Receitas Realizadas                                                             |                                     |              87.408.156,73              Saldos de Exercicios Anteriores(Utilizados para Creditos Adicionais)            |                                     |               9.308.406,85              Deficit Orcamentario                                                            |                                     |                                       DESPESAS                                                                          |                                     |                                         Dotacao Inicial                                                                 |                                     |              81.988.446,74              Creditos Adicionais                                                             |                                     |              12.224.716,28              Dotacao Atualizada                                                              |                                     |              94.213.163,02              Despesas Empenhadas                                                             |                                     |              72.916.534,35              Despesas Liquidadas                                                             |                                     |              72.443.347,93              Despesas Pagas                                                                  |                                     |              71.016.777,48              Superavit Orcamentario                                                          |                                     |              14.964.808,80            --------------------------------------------------------------------------------------------------------------------------------------------------------------   --------------------------------------------------------------------------------------------------------------------------------------------------------------                  DESPESAS POR FUNCAO / SUBFUNCAO                                    |                                     |           Ate o Bimestre              ----------------------------------------------------------------------------------|-------------------------------------|-------------------------------------  Despesas Empenhadas                                                               |                                     |              75.921.108,74            Despesas Liquidadas                                                               |                                     |              75.447.922,32            --------------------------------------------------------------------------------------------------------------------------------------------------------------   --------------------------------------------------------------------------------------------------------------------------------------------------------------                  RECEITA CORRENTE LIQUIDA - RCL                                     |                                     |           Ate o Bimestre              ----------------------------------------------------------------------------------|-------------------------------------|-------------------------------------  Receita Corrente Liquida                                                          |                                     |              67.292.876,37            --------------------------------------------------------------------------------------------------------------------------------------------------------------   --------------------------------------------------------------------------------------------------------------------------------------------------------------                  RECEITAS E DESPESAS DO REGIME PROPRIO DE PREVIDENCIA DOS SERVIDORES|                                     |           Ate o Bimestre              ----------------------------------------------------------------------------------|-------------------------------------|-------------------------------------  Regime Proprio de Previdencia dos Servidores - PLANO PREVIDENCIARIO               |                                     |                                         Receitas Previdenciarias Realizadas                                             |                                     |               8.073.191,19              Despesas Previdenciarias Liquidadas                                             |                                     |               6.999.902,54              Resultado Previdenciario                                                        |                                     |               1.073.288,65            --------------------------------------------------------------------------------------------------------------------------------------------------------------   **  001  000  *  MUNICIPIO DE SARANDI                                                    DATA EMISSAO: 22/01/2020  PAGINA       2 **                             ****  TCHE  ***  ST7  LDSI  *****************                                            HORA EMISSAO:      08:47  *****************                                                                                   MUNICIPIO DE SARANDI                                                     EXECUTIVO                                                                         RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA                                                                                                        DEMONSTRATIVO SIMPLIFICADO DO RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA                                                                                                         ORCAMENTOS FISCAL E DA SEGURIDADE SOCIAL                                                                                                             JANEIRO A  DEZEMBRO  2019    BIMESTRE:  NOVEMBRO- DEZEMBRO                                                           LRF, art. 48 - Anexo XVIII                                                                                                                            R$ 1,00  --------------------------------------------------------------------------------------------------------------------------------------------------------------                                                                                    |  Meta Fixada no  | Resultado Apurado|               %  em                                           RESULTADOS NOMINAL E PRIMARIO                             |  Anexo de Metas  |  Ate o Bimestre  |           Relacao a Meta                                                                                                |  Fiscais da LDO  |                  |                                                                                                                         |        (a)       |        (b)       |                (b/a)                  ----------------------------------------------------------------------------------|------------------|------------------|-------------------------------------  Resultado Primario - Acima da Linha                                               |      2.785.590,64|      4.936.669,65|                 177,22                Resultado Nominal - Acima da Linha                                                |      2.705.350,02|      5.647.075,12|                 208,74                --------------------------------------------------------------------------------------------------------------------------------------------------------------   --------------------------------------------------------------------------------------------------------------------------------------------------------------                                                                                     |                  | Cancelamento Ate | Pagamento Ate o  |      Saldo                                 RESTOS A PAGAR POR PODER E MINISTERIO PUBLICO             |     Inscricao    |    o  Bimestre   |     Bimestre     |     a Pagar        ----------------------------------------------------------------------------------|------------------|------------------|------------------|------------------  RESTOS A PAGAR PROCESSADOS                                                        |      2.046.198,35|          6.910,83|      1.995.041,56|         44.245,96    Poder Executivo                                                                 |      2.023.677,85|          6.315,26|      1.973.116,63|         44.245,96    Poder Legislativo                                                               |         22.520,50|            595,57|         21.924,93|                    RESTOS A PAGAR NAO-PROCESSADOS                                                    |         39.204,70|          1.574,93|         37.629,77|                      Poder Executivo                                                                 |         37.920,22|            290,45|         37.629,77|                      Poder Legislativo                                                               |          1.284,48|          1.284,48|                  |                    ----------------------------------------------------------------------------------|------------------|------------------|------------------|------------------  TOTAL                                                                             |      2.085.403,05|          8.485,76|      2.032.671,33|         44.245,96  --------------------------------------------------------------------------------------------------------------------------------------------------------------   --------------------------------------------------------------------------------------------------------------------------------------------------------------                                                                                     |                  |          Limites Constitucionais Anuais                        DESPESAS COM MANUTENCAO E DESENVOLVIMENTO DO ENSINO                         |  Valor  Apurado  |------------------|-------------------------------------                                                                                    |  Ate o Bimestre  |% Minimo a Aplicar|   % Aplicado Ate o Bimestre                                                                                             |                  |   no Exercicio   |                                       ----------------------------------------------------------------------------------|------------------|------------------|-------------------------------------  Minimo Anual 25% das Receitas de Impostos na Manutencao e Desenvolvimento do Ensin|     13.529.134,32|      25%         |                  26,06                Minimo Anual 60% do FUNDEB na Remuneracao Magisterio c/Educ. Infantil/Ensino Fund.|      8.029.706,52|      60%         |                  73,61                --------------------------------------------------------------------------------------------------------------------------------------------------------------   --------------------------------------------------------------------------------------------------------------------------------------------------------------                  RECEITAS DE OPERACOES DE CREDITO E DESPESAS DE CAPITAL             |     Valor Apurado no Exercicio      |         Saldo Nao Realizado           ----------------------------------------------------------------------------------|-------------------------------------|-------------------------------------  Receitas de Operacoes de Credito                                                  |                 924.094,13          |               6.270.753,16            Despesa de Capital Liquida                                                        |               9.523.362,04          |              11.401.823,90            --------------------------------------------------------------------------------------------------------------------------------------------------------------   --------------------------------------------------------------------------------------------------------------------------------------------------------------                           PROJECAO ATUARIAL DOS REGIMES DE PREVIDENCIA              |   Exercicio em   |   10. Exercicio  |   20. Exercicio  |   35. Exercicio                                                                                      |    Referencia    |                  |                  |                    ----------------------------------------------------------------------------------|------------------|------------------|------------------|------------------  Regime Proprio de Previdencia Social dos Servidores Publicos                      |                  |                  |                  |                      Receitas Previdenciarias (I)                                                    |      9.130.999,59|     13.916.211,25|     21.248.239,07|     29.510.781,56    Despesas Previdenciarias (II)                                                   |      4.173.948,70|      8.583.336,40|     12.219.533,95|     19.570.039,32    Resultado Previdenciario (I - II)                                               |      4.957.050,89|      5.332.874,85|      9.028.705,12|      9.940.742,24  --------------------------------------------------------------------------------------------------------------------------------------------------------------   **  001  000  *  MUNICIPIO DE SARANDI                                                    DATA EMISSAO: 22/01/2020  PAGINA       3 **                             ****  TCHE  ***  ST7  LDSI  *****************                                            HORA EMISSAO:      08:47  *****************                                                                                   MUNICIPIO DE SARANDI                                                     EXECUTIVO                                                                         RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA                                                                                                        DEMONSTRATIVO SIMPLIFICADO DO RELATORIO RESUMIDO DA EXECUCAO ORCAMENTARIA                                                                                                         ORCAMENTOS FISCAL E DA SEGURIDADE SOCIAL                                                                                                             JANEIRO A  DEZEMBRO  2019    BIMESTRE:  NOVEMBRO- DEZEMBRO                                                           LRF, art. 48 - Anexo XVIII                                                                                                                            R$ 1,00  --------------------------------------------------------------------------------------------------------------------------------------------------------------                 RECEITA DA ALIENACAO DE ATIVOS E APLICACAO DOS RECURSOS            |     Valor Apurado Ate Bimestre      |         Saldo Nao Realizado           ----------------------------------------------------------------------------------|-------------------------------------|-------------------------------------  Receita de Capital Resultante da Alienacao de Ativos                              |                 261.818,50          |                -261.818,50            Despesa dos Recursos da Alienacao de Ativos                                       |                 135.767,28          |                 337.523,21            --------------------------------------------------------------------------------------------------------------------------------------------------------------   --------------------------------------------------------------------------------------------------------------------------------------------------------------                                                                                     |                  |          Limite Constitucional Anual                                             DESPESAS COM ACOES E SERVICOS PUBLICOS DE SAUDE           |  Valor  Apurado  |------------------|-------------------------------------                                                                                    |  Ate o Bimestre  |% Minimo a Aplicar|    % Aplicado ate Bimestre                                                                                              |                  |   no Exercicio   |                                       ----------------------------------------------------------------------------------|------------------|------------------|-------------------------------------  Despesas Proprias com Acoes e Servicos Publicos de Saude                          |      9.404.287,79|             15,00|                  18,11                    Liquidadas                                                                    |      9.248.408,07|                  |                                           Inscritas em Restos a Pagar Nao Processados                                   |        155.879,72|                  |                                       ----------------------------------------------------------------------------------|------------------|------------------|-------------------------------------   --------------------------------------------------------------------------------------------------------------------------------------------------------------                  DESPESAS DE CARATER CONTINUADO DERIVADAS PPP?S CONTRATADAS         |      VLR APURADO EXERC.CORRENTE     |                                       ----------------------------------------------------------------------------------|-------------------------------------|-------------------------------------  Total das Despesas/RCL(%)                                                         |                                     |                                       --------------------------------------------------------------------------------------------------------------------------------------------------------------  FONTE: CONTABILIDADE                                                                                                                                                                                                                                                                                                            --------------------------------------------------------------------------------------------------------------------------------------------------------------  Nota: Durante o exercicio, somente as despesas liquidadas sao consideradas executadas. No encerramento do exercicio, as despesas                                nao liquidadas inscritas em restos a pagar nao processados sao tambem consideradas executadas. Dessa forma, para maior transpa-                                 rencia, as despesas executadas estao segregadas em:                                                                                                               a)Despesas liquidadas, consideradas aquelas em que houve aentrega do material ou servico, nos termos do art.63 da Lei 4.320/64;                                 b)Despesas empenhadas, mas nao liquidadas, inscritas em Restos a Pagar nao processados, consideradas liquidadas no encerramento                               do exercicio, por forca inciso II do art.35 da Lei 4.320/64;                                                                                                     _________________________________ _________________________________                                                                                              LEONIR CARDOZO                    LICIANE WUTTKE                                                                                                                PREFEITO MUNICIPAL                CONTADORA                                                                                                                     CPF 347.014.350-15                CRC 57597