Government Finance, Annual
Description
Annual Singapore government finance CSV from fiscal year 2005 through 2024, sourced from the Accountant-General’s Department with GFSM 2014 presentation from FY2015. Covers revenues and receipts on a broader IMF SDDS-aligned basis than annual Budget spending limits. Fiscal analysts study public sector balances and reserve-related receipts.
Official description
Source: ACCOUNTANT-GENERAL'S DEPARTMENT Data Last Updated: 30/09/2025 Update Frequency: Annual Footnotes: Data refer to the Government's financial year, which begins on 1 April of the current year and ends on 31 March of the following year. Presentation format of the table follows that of the National Summary Data Page for Singapore, which disseminates the data prescribed by the International Monetary Fund's Special Data Dissemination Standards. Data in the table represent a broader definition of Government revenues and receipts than what are permissible for Government spending as presented in each year's Budget Statement. This is because some revenues and receipts accrue to the Government's past reserves, which cannot be drawn on without the approval of the President. Data prior to April 2015 follow the IMF Government Financial Statistics Manual (GFSM), i.e., GFSM 2001. Data from April 2015 follow the latest IMF Government Financial Statistics Manual (GFSM), GFSM 2014, which is an update from the previous GFSM 2001. Details on the reporting format for GFSM 2014 and GFSM 2001 can be found in IMF's website http://www.imf.org/external/pubs/ft/gfs/manual/aboutgfs.htm. Figures may not add up due to rounding. Adapted from: https://tablebuilder.singstat.gov.sg/table/TS/M130611
- Last updated
- Coverage
- 2005-01-01 – 2024-12-31
- Rows
- 14
- Columns
- 21
Chart
Values are summed where multiple rows share the same category.
Data
| Data Series | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Cash Surplus/Deficit | 19282.800000 | 5775.600000 | 3657.000000 | 5204.000000 | -39342.500000 | 32232.100000 | 15174.500000 | 29898.700000 | 13879.100000 | 11004.800000 | 22358.100000 | 25262.000000 | 25320.800000 | 27366.300000 | 19621.300000 | -442.000000 | 16527.000000 | 28077.000000 | 13213.000000 | 12452.000000 |
| Net Cash Inflow From Operating Activities | 11611.300000 | -949.600000 | 505.300000 | 413.100000 | -40819.100000 | 28854.600000 | 8669.600000 | 21913.200000 | 9405.000000 | 1999.100000 | 13453.600000 | 12977.100000 | 12916.900000 | 10404.000000 | 9491.300000 | 2904.000000 | 11813.000000 | 17132.000000 | 10131.000000 | 10777.000000 |
| Cash Receipts From Operating Activities | 131350.500000 | 119634.700000 | 108341.800000 | 97873.600000 | 84141.900000 | 104256.800000 | 88408.600000 | 91960.000000 | 78511.100000 | 74243.600000 | 69972.800000 | 64750.300000 | 62931.700000 | 58454.200000 | 53450.700000 | 46741.000000 | 54560.000000 | 51007.000000 | 41577.000000 | 37598.000000 |
| Cash Payments For Operating Activities | 119739.200000 | 120584.300000 | 107836.800000 | 97460.500000 | 124961.000000 | 75402.200000 | 79739.000000 | 70046.800000 | 69106.100000 | 72244.500000 | 56519.200000 | 51773.200000 | 50014.800000 | 48050.200000 | 43959.400000 | 43837.000000 | 42747.000000 | 33875.000000 | 31446.000000 | 26821.000000 |
| Net Cash Outflow From Investments In Non-Financial Assets | -7671.500000 | -6725.100000 | -3151.700000 | -4790.900000 | -1476.600000 | -3377.500000 | -6504.900000 | -7985.500000 | -4474.100000 | -9005.700000 | -8904.500000 | -12284.900000 | -12403.900000 | -16962.300000 | -10130.000000 | 3346.000000 | -4714.000000 | -10945.000000 | -3082.000000 | -1675.000000 |
| Purchases Of Non-Financial Assets | 12149.600000 | 11081.500000 | 8920.600000 | 7886.600000 | 6005.800000 | 8095.000000 | 8087.600000 | 7888.600000 | 8040.700000 | 6536.200000 | 6021.600000 | 5264.800000 | 6032.000000 | 5903.900000 | 6171.900000 | 7380.000000 | 5003.000000 | 3783.000000 | 3259.000000 | 3975.000000 |
| Sales Of Non-Financial Assets | 19821.100000 | 17806.600000 | 12072.400000 | 12677.500000 | 7482.400000 | 11472.500000 | 14592.500000 | 15874.100000 | 12514.800000 | 15541.900000 | 14926.100000 | 17549.700000 | 18435.900000 | 22866.200000 | 16301.900000 | 4034.000000 | 9717.000000 | 14728.000000 | 6341.000000 | 5650.000000 |
| Net Cash Inflow From Financing Activities | 64544.800000 | 85180.700000 | 11229.800000 | 70539.700000 | 76287.100000 | 94156.600000 | 45029.000000 | 40393.100000 | 41994.900000 | 37566.500000 | 15453.700000 | -15314.100000 | 32447.400000 | 39364.200000 | 35170.200000 | 34810.000000 | 21315.000000 | 37728.000000 | 12797.000000 | 16408.000000 |
| Net Incurrence Of Liabilities | 66750.700000 | 87805.600000 | 14497.200000 | 69801.300000 | 73633.000000 | 94168.600000 | 44822.000000 | 37527.700000 | 43201.300000 | 40114.800000 | 14651.700000 | -14898.700000 | 29456.700000 | 36461.000000 | 31330.700000 | 36283.000000 | 20422.000000 | 32955.000000 | 8962.000000 | 11933.000000 |
| Domestic | 66750.700000 | 87805.600000 | 14497.200000 | 69801.300000 | 73633.000000 | 94168.600000 | 44822.000000 | 37527.700000 | 43201.300000 | 40114.800000 | 14651.700000 | -14898.700000 | 29456.700000 | 36461.000000 | 31330.700000 | 36283.000000 | 20422.000000 | 32955.000000 | 8962.000000 | 11933.000000 |
| Foreign | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 |
| Net Acquisition Of Financial Assets Other Than Cash | 2205.900000 | 2625.000000 | 3267.400000 | -738.400000 | -2654.100000 | 12.000000 | -207.000000 | -2865.400000 | 1206.600000 | 2548.300000 | -802.000000 | 415.400000 | -2990.700000 | -2903.200000 | -3839.500000 | 1473.000000 | -893.000000 | -4773.000000 | -3835.000000 | -4475.000000 |
| Domestic Excluding Cash | 2205.900000 | 2625.000000 | 3267.400000 | -738.400000 | -2654.100000 | 12.000000 | -207.000000 | -2865.400000 | 1206.600000 | 2548.300000 | -802.000000 | 415.400000 | -2990.700000 | -2903.200000 | -3839.500000 | 1473.000000 | -893.000000 | -4773.000000 | -3835.000000 | -4475.000000 |
| Foreign Excluding Cash | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 |
Columns
| Column | Type | Categorical |
|---|---|---|
| Data Series | Text | No |
| 2024 | Numeric | No |
| 2023 | Numeric | No |
| 2022 | Numeric | No |
| 2021 | Numeric | No |
| 2020 | Numeric | No |
| 2019 | Numeric | No |
| 2018 | Numeric | No |
| 2017 | Numeric | No |
| 2016 | Numeric | No |
| 2015 | Numeric | No |
| 2014 | Numeric | No |
| 2013 | Numeric | No |
| 2012 | Numeric | No |
| 2011 | Numeric | No |
| 2010 | Numeric | No |
| 2009 | Numeric | No |
| 2008 | Numeric | No |
| 2007 | Numeric | No |
| 2006 | Numeric | No |
| 2005 | Numeric | No |