Business Guaranteed Loan Financing Account
Schedules
TAFS: 073-4149 /X - Business Guaranteed Loan Financing Account
Line # | Split | Description | Iteration 1 Previously Approved Amount | Iteration 2 OMB Action Amount | Footnotes |
---|---|---|---|---|---|
1000 | Unob Bal: Brought forward, Oct 1 | $257,340,225,854 | -$29,977,370,470 $227,362,855,384 | ||
1400 | BA: Mand: Borrowing authority | $316,000,000 | $316,000,000 | ||
1840 | BA: Mand: Spending auth:Antic colls, reimbs, other | $10,800,000,000 | -$3,798,016,460 $7,001,983,540 | See footnotes below | |
Footnotes for line 1840 (Current): | B1: Includes subsidy upward adjustment to support $1.95M PPP Loan Restoration per settlement agreement between Rivulis Irrigation vs. Guzman (Case No. 1:20-cv-739). The obligation will incur on line 6050. | ||||
1920 | Total budgetary resources avail (disc. and mand.) | $268,456,225,854 | -$33,775,386,930 $234,680,838,924 | ||
6013 | Interest expense to treasury | $60,000,000 | $60,000,000 | ||
6014 | Default Claims | $35,000,000,000 | +$1,011,596,776 $36,011,596,776 | ||
6016 | Other Expenses | $300,000,000 | $300,000,000 | ||
6050 | Forgiveness | $232,251,182,875 | -$36,196,975,339 $196,054,207,536 | ||
6051 | Debt Relief Payment | $371,493,688 | $371,493,688 | ||
6182 | Budgetary Resources: Unappor bal, revolving fnd | $473,549,291 | +$1,409,991,633 $1,883,540,924 | ||
6190 | Total budgetary resources available | $268,456,225,854 | -$33,775,386,930 $234,680,838,924 | ||
8211 | 7(a) Business loan program | Line added— | +$5,259,000,000 $5,259,000,000 | ||
8212 | 504 guaranteed loan program | Line added— | +$3,000,000,000 $3,000,000,000 | See footnotes below | |
Footnotes for line 8212 (Current): | B2: Request for additional 504 guaranteed loan program funding pursuant to P.L.117-43 Sec.128 | ||||
8213 | SBIC loan program | Line added— | +$701,200,000 $701,200,000 | ||
8220 | 504 Commercial Real Estate Refinance Program | Line added— | +$1,314,750,000 $1,314,750,000 | ||
8232 | Secondary Market Guarantee | Line added— | +$2,578,900,000 $2,578,900,000 | See footnotes below | |
Footnotes for line 8232 (Current): | B3: Request for additional $300M Secondary Market Guarantee funding pursuant to P.L.117-43 Sec.128. | ||||
Footnotes
Footnotes provide further information about, or establish further legal requirements related to the use of, the funds in a given line or set of lines in an apportionment. If footnotes appear on lines 1920 or 6190, they apply to all the lines in the 1xxx and 6xxx sections, respectively. The following are all the footnotes associated with this file.
Number | Text |
---|---|
B1 | Includes subsidy upward adjustment to support $1.95M PPP Loan Restoration per settlement agreement between Rivulis Irrigation vs. Guzman (Case No. 1:20-cv-739). The obligation will incur on line 6050. |
B2 | Request for additional 504 guaranteed loan program funding pursuant to P.L.117-43 Sec.128 |
B3 | Request for additional $300M Secondary Market Guarantee funding pursuant to P.L.117-43 Sec.128. |
The following are all of the footnotes associated with the previous iteration of this file. Note that previous iterations of accounts in this file may come from multiple previous files.
No footnotes available.
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