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Annual Report of the Comptroller, 1990
Volume 354, Page 79   View pdf image (33K)
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STATE OF MARYLAND

Schedule of General Government Revenues by Source,

Expenditures by Function and Other Sources (Uses)

of Financial Resources and Changes in Fund Balances

General, Special Revenue, Debt Service and Capital Projects Funds

Last Ten Fiscal Years
(Expressed in Thousands)

 

       

Year Ended

June 30,

       
 

1990

1989

1988(5)

1987

1986

1985

1984

1983

1982

1981

Revenues:

                   

Income taxes .............................

, $3,096,423

$3,037,900

$2,676,213

$2,484,692

$2,140,594

$1,968,106

$1,803,939

$1,558,515

$51,452,355

$1,363,909

Retail sales and use taxes ...................

. 1,571,867

1,507,053

1,423,585

1,302,463

1,189,603

1,098,445

988,284

865,087

797,397

753,674

Motor vehicle taxes and fees ................

955,253

963,119

948,408

794,946

741,940

683,774

635,602

518,274

436,633

417,302

Other taxes ..............................

894,729

861,758

823,790

751,081

641,767

584,254

574,353

550,664

510,021

478,221

Other licenses and fees .....................

113,189

109,523

111,453

102,285

91,104

77,497

70,387

57,488

49,426

38,463

Charges for services .......................

331,312

333,342

353,270

284,983

238,862

266,453

229,160

185,585

193,157

174,986

Interest and other investment income ........

125,655

125,877

90,441

65,436

94,464

104,262

84,421

96,621

124,999

115,358

Other ...................................

192,182

188,241

184,384

174,834

173,133

134,298

111,128

87,588

80,872

107,517

Gain on defeasance of transportation bonds

     

39,543

53,337

         

Federal ..................................

. 1,825,753

1,693,289

1,573,753

1,493,164

1,386,667

1,253,000

1,146,614

1,097,953

928,906

1,029,790

Total revenues ........................

. 9,106,363

8,820,102

8,190,297

7,493,427

6,751,471

6,170,089

5,643,888

5,017,775

4,573,766

4,479,220

Expenditures:

                   

Current:

                   

General government .....................

453,164

437,089

410,519

266,251

248,951

233,441

199,323

217,869

205,972

197,909

Education ..............................

. 2,052,303

1,902,965

1,759,450

1,621,797

1,516,492

1,422,008

983,603

956,799

934,163

891,961

Economic and employment development

147,404

118,804

113,605

             

Human resources ........................

753,935

695,029

669,341

680,408

674,346

602,396

543,078

521,613

465,299

510,244

Health and mental hygiene ................

. 1,990,090

1,784,992

1,609,327

1,567,412

1,406,629

1,265,849

1,131,159

1,025,195

896,743

860,286

Environment ..........................

52,245

45,114

37,140

             

Transportation .........................

544,037

550,045

537,686

486,551

544,004

414,230

380,167

330,262(2)

666,070

655,324

Public saftey and judicial .................

728,105

648,200

559,804

536,267

471,621

433,904

317,823

333,387

286,223

270,379

Housing and community development ......

62,179

56,024

52,273

39,890

26,434

27,172

24,088

21,137

17,238

18,464

Natural resources and recreation ..........

123,297

107,450

98,541

94,254

82,787

73,952

59,259

59,487

53,974

56,238

Agriculture ............................

43,819

37,193

30,626

31,453

27,909

23,341

20,650

18,655

16,662

13,232

Personnel and retirement ................

     

21,773

21,273

31,784(4)

505,587

414,860

334,725

333,892

Intergovernmental .......................

815,738

804,665

784,255

690,520

497,158

525,623

513,755

410,436

376,043

466,260

Debt service .............................

467,197

454,474

435,886

444,079

455,880

433,482

425,977

436,328

411,313

315,868

Capital outlays ...........................

. 1,142,035

925,589

929,024

833,923

685,516

573,053

485,615

595,474

128,424

96,787

Total expenditures ....................

. 9,375,548

8,567,633

8,027,477

7,314,578

6,659,000

6,060,235

5,590,084

5,341,502

4,792,849

4,686,844

Excess (deficiency) of revenues over

                   

expenditures .......................

(269,185)

252,469

162,820

178,849

92,471

109,854

53,804

(323,727)

(219,083)

(207,624)

Other sources (uses) of financial resources:

                   

Proceeds from capital leases ...............

3,008

12,384

30,250

12,743

           

Proceeds from bond issues .................

499,688

265,191

321,358

275,068

133,380

163,200

146,470

473,105

253,880

444,335

Proceeds from refunding bonds .............

     

29,053

           

Operating transfers in ....................

353,254

319,604

337,107

332,366

323,423

252,517

211,935

201,668

208,341

171,422

Operating transfers out ...................

(863,239)

(613,723)

(507,772)

(478,367)

(582,044)

(383,393)

(363,309)

(362,651)

(322,959)

(308,330)

Defeasance of bonds ......................

     

(155,725)

(354,865)

         

Payment to refunded bond escrow agent .....

     

(29,053)

           

Net other sources (uses) of financial

                   

resources ............................

(7,289)

(16,544)

180,943

(13,915)

(480,106)

32,324

(4,904)

312,122

139,262

307,427

Excess (deficiency) of revenues over

                   

expenditures and net other sources (uses)

                   

of financial resources ..................

(276,474)

235,925

343,763

164,934

(387,635)

142,178

48,900

(11,605)

(79,821)

99,803

Fund balance, July 1 ........................

. 1,261,628

1,025,703

681,940

517,006

904,641

762,463

713,563

717,168

803,584

693,781

Adjustments ............................

               

(6.595X

1)

Fund balance, July 1, as restated .............

. 1,261,628

1,025,703

681,940

517,006

904,641

762,463

713,563

717,168

796,989

693,781

Equity transfers .........................

             

8,000(3)

 

10,000

Fund balance, June 30 ......................

. $985,154

$1,261,628

$1,025,703

$681,940

$517,006

$904,641

$762,463

$ 713,563 :

$717,168

$803,584

Source: General Accounting Division, State Comptroller's Office.

fund balance to retained earnings in the enterprise funds.

(2) Effective July 1,1982, capital outlays for transportation projects are reported in Capital Outlays instead of Transportation.

(3) During 1983 the Lottery returned $8,000,000 to the General Fund. This return of contributed capital has been reported as an equity transfer.

(4) Effective July 1,1984 fringe benefit costs are allocated to the various governmental functions.

(5) Beginning in fiscal year 1988, as a result of a State-wide reorganization, certain expenditures are reported in different classifications.

79

 

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Annual Report of the Comptroller, 1990
Volume 354, Page 79   View pdf image (33K)
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