2024年职工基本医疗保险(含生育保险)基金收支计划表
2024年职工基本医疗保险(含生育保险)基金收支计划表 | ||||||
医预02表 | ||||||
编制单位: | 淮北市医疗保障局 | 2023年 | 单位:元 | |||
项 目 | 2023年预计执行数 | 2024年收支计划数 | ||||
小计 | 基本医疗保险统筹基金 (含单建) |
医疗保险个人账户基金 | 小计 | 基本医疗保险统筹基金 (含单建) |
医疗保险个人账户基金 | |
一、基本医疗保险费收入 | 2,415,153,215.47 | 1,821,414,678.33 | 593,738,537.14 | 2,422,621,285.10 | 1,827,540,972.36 | 595,080,312.74 |
其中:单位缴费 | 1,990,518,353.78 | 1,821,414,678.33 | bk | 1,998,022,444.35 | 1,827,540,972.36 | 170,481,471.99 |
其中:生育保险 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
个人缴费 | 424,634,861.69 | 0.00 | 424,634,861.69 | 424,598,840.75 | 0.00 | 424,598,840.75 |
二、财政补贴收入 | 2,068,300.00 | 2,068,300.00 | -- | 0.00 | 0.00 | -- |
其中:对医保基金负担新冠病毒疫苗及接种费用的补助 | 2,068,300.00 | 2,068,300.00 | -- | 0.00 | 0.00 | -- |
三、利息收入 | 45,444,640.27 | 27,398,943.99 | 18,045,696.28 | 190,744,684.49 | 183,132,897.37 | 7,611,787.12 |
四、转移收入 | 4,125,791.93 | -- | 4,125,791.93 | 4,235,610.00 | -- | 4,235,610.00 |
五、其他收入 | 2,210,872.97 | 2,210,872.97 | 0.00 | 738,402.14 | 738,402.14 | 0.00 |
其中:滞纳金 | 308,999.83 | 308,999.83 | 0.00 | 426,248.66 | 426,248.66 | 0.00 |
六、本年收入小计 | 2,469,002,820.64 | 1,853,092,795.29 | 615,910,025.35 | 2,618,339,981.73 | 2,011,412,271.87 | 606,927,709.86 |
七、上级补助收入 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
八、下级上解收入 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
九、本年收入合计 | 2,469,002,820.64 | 1,853,092,795.29 | 615,910,025.35 | 2,618,339,981.73 | 2,011,412,271.87 | 606,927,709.86 |
十、上年结余 | 3,655,129,497.33 | 1,505,040,239.33 | 2,150,089,258.00 | 4,272,416,041.68 | 2,213,660,576.27 | 2,058,755,465.41 |
总 计 | 6,124,132,317.97 | 3,358,133,034.62 | 2,765,999,283.35 | 6,890,756,023.41 | 4,225,072,848.14 | 2,665,683,175.27 |
项 目 | 小计 | 基本医疗保险统筹基金 (含单建) |
医疗保险个人账户基金 | 小计 | 基本医疗保险统筹基金 (含单建) |
医疗保险个人账户基金 |
一、基本医疗保险待遇支出 | 1,777,606,470.91 | 1,083,480,658.41 | 694,125,812.50 | 1,919,780,475.53 | 1,238,576,104.66 | 681,204,370.87 |
其中:1.住院费用支出 | 857,996,773.44 | 791,677,835.06 | 66,318,938.38 | 945,805,249.41 | 874,117,026.42 | 71,688,222.99 |
2.门诊费用支出 | 860,475,242.04 | 232,668,367.92 | 627,806,874.12 | 911,136,440.21 | 301,620,292.33 | 609,516,147.88 |
3.生育医疗费用支出 | 9,780,578.60 | 9,780,578.60 | 0.00 | 10,121,803.17 | 10,121,803.17 | 0.00 |
4.生育津贴支出 | 49,353,876.83 | 49,353,876.83 | 0.00 | 52,716,982.74 | 52,716,982.74 | 0.00 |
二、转移支出 | 2,627,105.44 | -- | 2,627,105.44 | 2,679,120.28 | -- | 2,679,120.28 |
三、其他支出 | 71,482,699.94 | 60,991,799.94 | 10,490,900.00 | 79,170,919.58 | 68,190,439.58 | 10,980,480.00 |
四、本年支出小计 | 1,851,716,276.29 | 1,144,472,458.35 | 707,243,817.94 | 2,001,630,515.39 | 1,306,766,544.24 | 694,863,971.15 |
五、补助下级支出 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
六、上解上级支出 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
七、本年支出合计 | 1,851,716,276.29 | 1,144,472,458.35 | 707,243,817.94 | 2,001,630,515.39 | 1,306,766,544.24 | 694,863,971.15 |
八、本年收支结余 | 617,286,544.35 | 708,620,336.94 | -91,333,792.59 | 616,709,466.34 | 704,645,727.63 | -87,936,261.29 |
九、年末滚存结余 | 4,272,416,041.68 | 2,213,660,576.27 | 2,058,755,465.41 | 4,889,125,508.02 | 2,918,306,303.90 | 1,970,819,204.12 |
总 计 | 6,124,132,317.97 | 3,358,133,034.62 | 2,765,999,283.35 | 6,890,756,023.41 | 4,225,072,848.14 | 2,665,683,175.27 |