Employees Health Benefits Fund
Schedules
TAFS: 024-8440 /X - Employees Health Benefits Fund
Line # | Split | Description | Iteration 1 Previously Approved Amount | Iteration 2 OMB Action Amount | Footnotes |
---|---|---|---|---|---|
1000 | MA | Unob Bal: Brought forward, October 1 | Line added— | +$25,181,990,645 $25,181,990,645 | |
1000 | ME | Unob Bal: Brought forward, October 1 | $30,154,000,000 | -$30,154,000,000 Line removed— | |
1700 | BA: Disc: Spending auth: Collected | $0 | +$27,435,680 $27,435,680 | ||
1740 | BA: Disc: Spending auth:Antic colls, reimbs, other | $0 | +$43,008,659 $43,008,659 | ||
1800 | BA: Mand: Spending auth: Collected | $0 | +$19,025,825,995 $19,025,825,995 | ||
1800 | 1800-1 | BA: Mand: Spending auth: Collected | $0 | +$5,705,388,379 $5,705,388,379 | |
1801 | BA: Mand: Spending auth: Chng uncoll pymts Fed src | $113,000,000 | +$26,000,000 $139,000,000 | ||
1802 | SEQ | BA: Mand: Spending auth: Previously unavailable | $484,597 | $484,597 | See footnotes below |
Footnotes for line 1802 (SEQ) (Previous): | B1: Reflects the sequestration of FY 2021 non-defense mandatory budget authority ordered by the President on February 10, 2020. The order requires a 5.7% reduction in non-defense mandatory sequestrable spending. | ||||
1823 | SEQ | BA: Mand: Spending auth: New\Unob bal temp reduced | -$401,237 | -$401,237 | See footnotes below |
Footnotes for line 1823 (SEQ) (Previous): | B2: Reflects the sequestration of FY 2022 non-defense mandatory budget authority ordered by the President on May 28, 2021. The order requires a 5.7% reduction in non-defense mandatory sequestrable spending. | ||||
1840 | BA: Mand: Spending auth:Antic colls, reimbs, other | $44,796,000,000 | -$16,923,825,995 $27,872,174,005 | ||
1840 | 1840-1 | BA: Mand: Spending auth:Antic colls, reimbs, other | $0 | +$8,624,611,621 $8,624,611,621 | |
1920 | Total budgetary resources avail (disc. and mand.) | $75,063,083,360 | +$11,556,434,984 $86,619,518,344 | ||
6011 | Benefit Payments | $58,765,000,000 | +$829,000,000 $59,594,000,000 | ||
6012 | Payments from OPM Contingency Reserve | $300,000,000 | $300,000,000 | ||
6013 | Administration | $0 | +$70,444,339 $70,444,339 | ||
6015 | Dental/Vision Administration | $6,638,017 | $6,638,017 | ||
6182 | Budgetary Resources: Unappor bal, revolving fnd | $15,991,445,343 | +$10,656,990,645 $26,648,435,988 | ||
6190 | Total budgetary resources available | $75,063,083,360 | +$11,556,434,984 $86,619,518,344 | ||
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.
No footnotes available.
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.
Number | Text |
---|---|
B1 | Reflects the sequestration of FY 2021 non-defense mandatory budget authority ordered by the President on February 10, 2020. The order requires a 5.7% reduction in non-defense mandatory sequestrable spending. |
B2 | Reflects the sequestration of FY 2022 non-defense mandatory budget authority ordered by the President on May 28, 2021. The order requires a 5.7% reduction in non-defense mandatory sequestrable spending. |
Notes about this page
- † Links to public laws are automatically generated and are not guaranteed to be accurate.