MUNICIPIO DE MERIDA YUCATAN
POSICION FINANCIERA, BALANCE GENERAL ENERO A DICIEMBRE 2022
TIPO DE FONDO: TODOS LOS FONDOS
CUENTA CONTABLE  ENERO   FEBRERO   MARZO   ABRIL   MAYO   JUNIO   JULIO   AGOSTO   SEPTIEMBRE   OCTUBRE   NOVIEMBRE   DICIEMBRE 
PASIVO
CUENTAS POR PAGAR A CORTO PLAZO
2.1.1.1 SERVICIOS PERSONALES POR PAGAR A CORTO PLAZO  $            14,524,152.75  $               25,259,799.89  $                       28,693,139.70  $               39,795,645.50  $               42,888,997.03  $               53,622,211.71  $               57,333,637.17  $                67,767,327.93  $                70,621,309.28  $               81,726,182.40  $               47,520,569.23  $               11,562,357.07
2.1.1.2 PROVEEDORES POR PAGAR A CORTO PLAZO  $            58,706,768.36  $               63,766,527.08  $                       43,615,853.04  $               45,888,688.04  $               46,084,401.61  $               50,913,598.09  $               61,996,434.81  $                57,941,122.89  $                94,724,001.00  $               75,178,062.72  $             127,829,463.23  $               68,525,543.78
2.1.1.3 CONTRATISTAS POR OBRAS PÚBLICAS POR PAGAR A CORTO PLAZO  $              2,554,916.75  $                 4,604,635.93  $                                          -    $                                   -    $                 6,633,625.83  $                 7,447,956.19  $                 8,855,884.77  $                  6,447,654.44  $                  1,727,892.16  $                 2,384,839.00  $                 5,904,708.87  $                 1,440,065.13
2.1.1.5 TRANSFERENCIAS OTORGADAS POR PAGAR A CORTO PLAZO  $              8,527,517.84  $               22,789,975.26  $                       11,438,068.59  $               19,402,978.86  $               19,441,500.61  $               24,385,743.96  $               21,947,029.65  $                23,888,981.89  $                25,315,160.47  $               13,556,290.28  $               20,113,115.82  $               11,413,099.29
2.1.1.7 RETENCIONES Y CONTRIBUCIONES POR PAGAR A CORTO PLA  $              7,109,608.94  $                 7,772,315.03  $                         8,310,015.82  $                 8,087,210.35  $                 8,060,807.13  $                 8,303,133.68  $                 8,113,437.92  $                  8,415,886.31  $                  8,245,863.45  $                 8,164,231.38  $               14,233,850.58  $               14,660,733.15
2.1.1.9 OTRAS CUENTAS POR PAGAR A CORTO PLAZO  $            14,256,700.52  $               24,267,071.51  $                       21,026,083.47  $               24,581,345.07  $               22,617,818.72  $               27,521,831.07  $               24,944,655.26  $                29,604,108.52  $                26,320,198.21  $               30,064,513.78  $               28,926,529.66  $               20,181,896.80
TOTAL CUENTAS POR PAGAR A CORTO PLAZO  $          105,679,665.16  $             148,460,324.70  $                     113,083,160.62  $             137,755,867.82  $             145,727,150.93  $             172,194,474.70  $             183,191,079.58  $              194,065,081.98  $              226,954,424.57  $             211,074,119.56  $             244,528,237.39  $             127,783,695.22
FONDOS Y BIENES DE TERCEROS EN ANDMINISTRACION Y/O EN GARANTIA
PORCION A CORTO PLAZO DE LA DEUDA PÚBLICA A  LARGO PLAZO
2.1.3.1 PORCIÓN A CORTO PLAZO DE LA DEUDA PÚBLICA INTERNA  $               11,463,948.00
TOTAL PORCION A CORTO PLAZO DE LA DEUDA PÚBLICA A  LARGO PLAZO                        $               11,463,948.00
2.1.6.1 FONDOS EN GARANTIA A CORTO PLAZO  $              1,592,460.87  $                 1,650,195.17  $                         1,628,269.38  $                 1,659,223.45  $                 1,661,223.45  $                 1,627,797.06  $                 1,649,775.03  $                  1,666,236.85  $                  1,669,736.85  $                 1,668,736.85  $                 1,668,236.85  $                 1,669,236.85
2.1.6.4 FONDOS DE FIDEICOMISOS. MANDATOS Y ANALOGOS A CORTO PLAZO  $              3,407,220.11  $                 3,434,296.37  $                         3,343,035.51  $                 3,527,152.22  $                 3,338,589.15  $                 4,164,760.64  $                 3,590,921.04  $                  3,338,857.26  $                  3,574,059.85  $                 3,329,061.27  $                 3,326,394.22  $                 3,736,549.09
TOTAL FONDOS Y BIENES DE TERCEROS EN ANDMINISTRACION Y/O EN GARANTIA  $              4,999,680.98  $                 5,084,491.54  $                         4,971,304.89  $                 5,186,375.67  $                 4,999,812.60  $                 5,792,557.70  $                 5,240,696.07  $                  5,005,094.11  $                  5,243,796.70  $                 4,997,798.12  $                 4,994,631.07  $                 5,405,785.94
OTROS PASIVOS A CORTO PLAZO
2.1.9.9 OTROS PASIVOS CIRCULANTES  $             336,398,638.39  $                     336,398,638.39  $             336,398,638.39  $             336,398,638.39  $             336,398,638.39  $             336,398,638.39  $              336,398,638.39  $              336,398,638.39  $             336,398,638.39  $             336,398,638.39  $             336,398,638.39
TOTAL OTROS PASIVOS A CORTO PLAZO  $                                -    $             336,398,638.39  $                     336,398,638.39  $             336,398,638.39  $             336,398,638.39  $             336,398,638.39  $             336,398,638.39  $              336,398,638.39  $              336,398,638.39  $             336,398,638.39  $             336,398,638.39  $             336,398,638.39
TOTAL DE PASIVO CIRCULANTE    $          110,679,346.14  $             489,943,454.63  $                     454,453,103.90  $             479,340,881.88  $             487,125,601.92  $             514,385,670.79  $             524,830,414.04  $              535,468,814.48  $              568,596,859.66  $             552,470,556.07  $             585,921,506.85  $             481,052,067.55
DEUDA PÚBLICA A LARGO PLAZO
2.2.3.3 PRESTAMOS DE LA DEUDA  PUBLICA INTERNA POR PAGAR A LARGO PLAZO  $             157,580,723.00
TOTAL DEUDA PÚBLICA A LARGO PLAZO                        $             157,580,723.00
FONDOS Y BIENES DE TERCEROS EN GARANTÍA
2.2.5.4 FONDOS DE FIDEICOMISOS. MANDATOS Y CONTRATOS ANALOGOS  $       6,524,079,386.38  $          6,526,145,387.29  $                  6,527,750,058.24  $          6,529,471,559.36  $          6,531,074,091.44  $          6,532,673,363.64  $          6,534,397,027.82  $           6,535,985,961.36  $           6,537,701,546.23  $          6,539,280,204.69  $          6,540,876,881.44  $          6,463,258,613.34
TOTAL FONDOS Y BIENES DE TERCEROS EN GARANTÍA  $       6,524,079,386.38  $          6,526,145,387.29  $                  6,527,750,058.24  $          6,529,471,559.36  $          6,531,074,091.44  $          6,532,673,363.64  $          6,534,397,027.82  $           6,535,985,961.36  $           6,537,701,546.23  $          6,539,280,204.69  $          6,540,876,881.44  $          6,463,258,613.34
TOTAL DE PASIVO NO CIRCULANTE    $       6,524,079,386.38  $          6,526,145,387.29  $                  6,527,750,058.24  $          6,529,471,559.36  $          6,531,074,091.44  $          6,532,673,363.64  $          6,534,397,027.82  $           6,535,985,961.36  $           6,537,701,546.23  $          6,539,280,204.69  $          6,540,876,881.44  $          6,620,839,336.34
TOTAL PASIVO     $       6,634,758,732.52  $          7,016,088,841.92  $                  6,982,203,162.14  $          7,008,812,441.24  $          7,018,199,693.36  $          7,047,059,034.43  $          7,059,227,441.86  $           7,071,454,775.84  $           7,106,298,405.89  $          7,091,750,760.76  $          7,126,798,388.29  $          7,101,891,403.89
P A T R I M O N I O
HACIENDA PUBLICA/PATRIMONIO CONTRIBUIDO
3.1.1 APORTACIONES  $              1,019,750.73  $                 1,006,450.25  $                            995,274.77  $                 1,134,075.57  $                 1,121,676.37  $                 1,147,819.27  $                 1,019,527.88  $                  1,007,671.14  $                     995,814.40  $                    983,957.66  $                    980,875.46  $                    944,411.52
TOTAL HACIENDA PUBLICA/PATRIMONIO CONTRIBUIDO  $              1,019,750.73  $                 1,006,450.25  $                            995,274.77  $                 1,134,075.57  $                 1,121,676.37  $                 1,147,819.27  $                 1,019,527.88  $                  1,007,671.14  $                     995,814.40  $                    983,957.66  $                    980,875.46  $                    944,411.52
HACIENDA PUBLICA/PATRIMONIO GENERADO
3.2.1 RESULTADO DEL EJERCICIO AHORRO/ DESAHORRO  $          484,587,686.11  $             599,212,564.37  $                     721,714,001.91  $             783,992,443.41  $             907,239,887.23  $             931,611,456.01  $          1,011,601,274.03  $           1,091,688,740.98  $           1,118,985,756.32  $          1,145,342,215.01  $          1,127,931,315.20  $             919,323,781.62
3.2.2 RESULTADO DE EJERCICIOS ANTERIORES  $       1,505,000,553.53  $          1,499,245,071.09  $                  1,487,421,085.10  $          1,483,324,091.78  $          1,483,409,649.83  $          1,483,353,544.82  $          1,483,263,463.49  $           1,483,232,736.16  $           1,483,193,048.83  $          1,482,936,618.27  $          1,482,936,324.94  $          1,482,935,531.61
3.2.3 REVALUOS  $       5,790,389,823.12  $          6,853,300,534.87  $                  6,853,021,830.09  $          6,854,686,978.92  $          6,854,666,742.02  $          6,851,176,921.05  $          6,848,572,400.15  $           6,884,547,802.05  $           6,884,571,148.16  $          6,884,529,620.13  $          6,885,653,862.94  $          6,902,666,485.14
TOTAL HACIENDA PUBLICA/PATRIMONIO GENERADO  $       7,779,978,062.76  $          8,951,758,170.33  $                  9,062,156,917.10  $          9,122,003,514.11  $          9,245,316,279.08  $          9,266,141,921.88  $          9,343,437,137.67  $           9,459,469,279.19  $           9,486,749,953.31  $          9,512,808,453.41  $          9,496,521,503.08  $          9,304,925,798.37
EXCESO O INSUFICIENCIA EN LA ACTUALIZACIÓN
3.3.2 RESULTADO POR TENENCIA DE ACTIVOS NO MONETARIOS -$       1,534,194,437.28 -$          1,527,548,710.57 -$                 1,516,726,858.21 -$          1,544,899,199.87 -$          1,544,620,110.52 -$          1,524,384,961.94 -$          1,524,384,961.94 -$          1,547,287,058.33 -$          1,550,694,709.38 -$          1,563,331,209.87 -$          1,533,982,882.65 -$          1,454,656,882.65
TOTAL EXCESO O INSUFICIENCIA EN LA ACTUALIZACIÓN -$       1,534,194,437.28 -$          1,527,548,710.57 -$                 1,516,726,858.21 -$          1,544,899,199.87 -$          1,544,620,110.52 -$          1,524,384,961.94 -$          1,524,384,961.94 -$          1,547,287,058.33 -$          1,550,694,709.38 -$          1,563,331,209.87 -$          1,533,982,882.65 -$          1,454,656,882.65
TOTAL P A T R I M O N I O  $       6,246,803,376.21  $          7,425,215,910.01  $                  7,546,425,333.66  $          7,578,238,389.81  $          7,701,817,844.93  $          7,742,904,779.21  $          7,820,071,703.61  $           7,913,189,892.00  $           7,937,051,058.33  $          7,950,461,201.20  $          7,963,519,495.89  $          7,851,213,327.24
TOTAL PASIVO Y HACIENDA PÚBLICA/PATRIMONIO  $     12,881,562,108.73  $        14,441,304,751.93  $                14,528,628,495.80  $        14,587,050,831.05  $        14,720,017,538.29  $        14,789,963,813.64  $        14,879,299,145.47  $         14,984,644,667.84  $         15,043,349,464.22  $        15,042,211,961.96  $        15,090,317,884.18  $        14,953,104,731.13