Office of the Treasurer and Receiver-General - Other







Historical Spending ($000)
OTHER
Account FY15
Expended
FY16
Expended
FY17
Expended
FY18
Projected
Spending
FY19
House 2
0610-0010 Economic Empowerment 0 0 0 60 0
0699-0005 Revenue Anticipation Notes Premium Debt Service 10,977 14,495 14,670 20,000 20,000
0699-0014 CTF Special Obligations Program Debt 101,757 114,968 154,322 188,666 200,857
0699-0015 Consolidated Long Term Debt Service 2,039,301 1,999,783 2,094,145 2,146,540 2,175,562
0699-2005 Central Artery Tunnel Debt Service 81,190 81,159 71,661 59,824 56,855
0699-9100 Short Term Debt Service and Costs of Issuance 7,588 7,641 16,391 17,716 17,716
0699-9101 Grant Anticipation Notes Debt Service 0 0 0 0 0
TOTAL 2,240,812 2,218,046 2,351,189 2,432,806 2,470,989

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