As of December 31, 2022, the summary table of the financial reports for the subsidy projects accepted by various authorities in Tainan City
1. The scope of the table includes various subsidy plans still being implemented in 111 fiscal year, including unit budget, advance payment cases, affiliated unit budgets, and collection and disbursement on behalf of others, excluding general subsidies allocated by the central government to local governments (such as general subsidies, ordinary consolidated tax allocations, undertaking of central government transfer business, special consolidated tax allocations for natural disaster reconstruction projects, harbor authority surplus appropriations, and motor fuel usage fees).2. Plan-approved amount: The total budget of central government-approved plans still being implemented in the 111 fiscal year (may include plans from previous years that have not yet been completed).3. Actual subsidy received/anticipated amount: As of December 31, 111 fiscal year, the actual subsidy received by the central government has been deposited into the treasury (including anticipated funds). The actual subsidy received/anticipated amount for the year refers to the actual subsidy received/anticipated amount for the first year of the plan, which is the 111 fiscal year; the cumulative actual subsidy received/anticipated amount refers to the actual subsidy received/anticipated amount from the start of the plan (e.g., plans starting in the 110 fiscal year) until December 31, 111 fiscal year.4. Available amount (including retained amount from previous years): Includes the budget allocation for the current year and the retained amount/waiting-to-be-implemented amount from previous years. If it is an advance payment case, it refers to the authorized advance payment execution amount agreed by the council.5. Expenditure actualized/anticipated amount: As of December 31, 111 fiscal year, the amounts of actual expenditures of subsidy plans and the city's matching funds (including anticipated amounts).6. Retained amount/waiting-to-be-implemented amount: Retained amount/waiting-to-be-implemented amount as of December 31, 111 fiscal year, and transferred to the available amount for 112 fiscal year.7. This table is updated every six months, with the reporting deadlines being June 30 and December 31 of each year.
Data fields
Seq、 Organization Name、 Approved Amount of Subsidy_Planned、 Approved Amount of Matching Funds_Planned、 Subsidy_Actual or Estimated Receipts for the Current Year、 Subsidy_Accumulated Actual or Estimated Receipts、 Subsidy_Available Amount (including reserved from previous years)、 Matching Funds_Available Amount (including reserved from previous years)、 Subsidy_Actual Expenditure or Prepayment for the Current Year、 Matching Funds_Actual Expenditure or Prepayment for the Current Year、 Accumulated Subsidy_Actual Expenditure or Prepayment、 Accumulated Matching Funds_Actual Expenditure or Prepayment、 Subsidy_Reserved or Pending Execution、 Matching Funds_Reserved or Pending Execution
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Contact person
吳美玲 (2160216-1323)
Update frequency
Irregular updates
License
Open Government Data License, version 1.0
Charge
free
Publish date
2023-03-22
Dataset type
System programming interface
Updated time
2025-12-05 16:10
Topic
Other
Service category
Dataset Category
Data archives
Keyword
Note