FOR IMMEDIATE RELEASE:
June 9, 2005

FOR INFORMATION CONTACT:
Mary J. Egr Edson, State Tax Commissioner
402/471-5604
David Dearmont, Administrator
402/471-5700

GENERAL FUND RECEIPTS — MAY, 2005

LINCOLN -- State Tax Commissioner Mary J. Egr Edson reported Thursday that total gross General Fund receipts for the month of May were $316,326,102. That is 8.1 percent above the projected amount of $292,687,000. For the month of May, gross Sales and Use, Individual Income and Miscellaneous taxes were ahead of projections by 4.4, 10.6, and 48.3 percent, respectively.

Total refunds for the month of May were $54,217,036 which is 7.1 percent below the projected amount of $58,340,000.

Egr Edson also said that net receipts were above projections for the month of May by $27,762,066. After refunds, total net receipts for the month were $262,109,066, or 11.8 percent above the projected amount of $234,347,000. For the month of May, net Sales and Use, Individual Income and Miscellaneous taxes were above forecast by 9.4. 12.7, and 45.9 percent, respectively.

Egr Edson also said that net receipts were ahead of projections for the first eleven months of fiscal year 2004-05 by $226,901,456. After refunds, total net receipts for the fiscal year through May were $2,749,006,456, which is above the projected total of $2,522,105,000 by 9.0 percent. For the year to date, net General Fund receipts for Sales and Use, Individual Income, Corporate Income and Miscellaneous taxes were above the forecast by 4.8, 10.8, 30.4 and 7.5 percent, respectively.

The comparisons in this report are based on the forecast made by the Nebraska Economic Forecasting Advisory Board on February 27, 2004. This forecast was adjusted for legislation passed by the 2004 Legislature, divided into monthly estimates, and certified to the Clerk of the Legislature by the State Tax Commissioner and Legislative Fiscal Analyst on July 13, 2004. The Nebraska Economic Forecasting Advisory Board met on October 29, 2004, and revised the fiscal year 2004-05 upward by $90,521,000, from $2,775,479,000 to $2,866,000,000. At the February 25, 2005 board meeting, the current fiscal year forecast was revised upward by $83,000,000 from $2,866,000,000 to $2,949,000,000. The forecasting board met for a final time this fiscal year on April 28, 2005 and revised the total upward by an additional $40,000,000. This results in a total upward revision of $213,521,000 for fiscal year 2004-05 from the original certified forecast, made in February 2004, through the April 2005 revised forecast. By statute, none of the revised forecasts were certified. The comparisons contained in this release are made on the basis of the February 2004 certified forecast.

APPROVED:
Mary J. Egr Edson
State Tax Commissioner

DEPARTMENT OF REVENUE

Research Division
Comparison of Actual and Projected General Fund Receipts for Fiscal Year 2004-2005

 

TOTAL
ACTUAL NET
RECEIPTS

TOTAL
PROJECTED
NET RECEIPTS

DIFFERENCE

PERCENT
DIFFERENCE

CUMULATIVE
ACTUAL NET
RECEIPTS

CUMULATIVE
PROJECTED
NET RECEIPTS

CUMULATIVE
DIFFERENCE

CUMULATIVE
PERCENT
DIFFERENCE

July $188,973,714 $183,846,000 5,127,714 2.8 $188,973,714 $183,846,000 5,127,714 2.8
August 272,764,013 247,319,000 25,445,013 10.3 461,737,727 431,165,000 30,572,727 7.1
September 283,094,494 275,205,000 7,889,494 2.9 744,832,221 706,370,000 38,462,221 5.4
October 185,175,490 167,966,000 17,209,490 10.2 930,007,710 874,336,000 55,671,710 6.4
November 253,273,269 228,411,000 24,862,269 10.9 1,183,280,980 1,102,747,000 80,533,980 7.3
December 255,610,893 242,138,000 13,472,893 5.6 1,438,891,873 1,344,885,000 94,006,873 7
January 285,651,163 239,682,000 45,969,163 19.2 1,724,543,036 1,584,567,000 139,976,036 8.8
February 201,674,320 209,414,000 (7,739,680) (3.7) 1,926,217,355 1,793,981,000 132,236,355 7.4
March 220,430,975 201,155,000 19,275,975 9.6 2,146,648,330 1,995,136,000 151,512,330 7.6
April 340,249,060 292,622,000 47,627,060 16.3 2,486,897,390 2,287,758,000 199,139,390 8.7
May 262,109,066 234,347,000 27,762,066 11.8 2,749,006,456 2,522,105,000 226,901,456 9

Comparison of Actual and Projected General Fund Receipts by Major Source for May 2005
and Cumulative Fiscal Year 2004-2005

MAY
ACTUAL
MAY
PROJECTED*
DIFFERENCE PERCENT
DIFFERENCE
CUMULATIVE
ACTUAL
CUMULATIVE
PROJECTED*
CUMULATIVE
DIFFERENCE
CUMULATIVE
PERCENT
DIFFERENCE
GROSS RECEIPTS
Sales & Use Tax $129,362,743  $123,955,000  $5,407,743  4.4 $1,429,522,616  $1,381,152,000  $48,370,616  3.5
Ind Income Tax 169,445,410 153,173,000 16,272,410 10.6 1,502,007,531 1,372,116,000 129,891,531 9.5
Corp Income Tax 5,455,428 7,428,000 (1,972,572) (26.6) 185,953,326 159,033,000 26,920,326 16.9
Misc Taxes 12,062,520 8,132,000 3,930,520 48.3 181,310,564 168,382,000 12,928,564 7.7
Total Gross $316,326,102  $292,687,000  $23,639,102  8.1 $3,298,794,037  $3,080,679,000  $218,115,037  7.1

REFUNDS

Total Refunds $ 54,217,036 $ 58,340,000 ($4,122,964) (7.1) $ 549,787,581 $ 558,575,000 ($8,787,419) (1.6)
NET RECEIPTS
Sales & Use Tax $ 105,227,900  $ 96,216,000  $ 9,011,900  9.4 $ 1,130,339,921  $ 1,078,060,000  $ 52,279,921  4.8
Ind Income Tax 140,340,309 124,497,000 15,843,309 12.7 1,275,945,918 1,151,754,000 124,191,918 10.8
Corp Income Tax 4,778,084 5,572,000 (793,916) (14.2) 162,453,435 124,589,000 37,864,435 30.4
Misc Taxes 11,762,772 8,063,000 3,699,772 45.9 180,267,182 167,701,000 12,566,182 7.5
Total Net $ 262,109,066  $ 234,347,000  $ 27,762,066  11.8 $ 2,749,006,456  $ 2,522,105,000  $ 226,901,456  9

*The projected amounts used in this comparison were set at the February 27, 2004 meeting of the Nebraska Economic Forecasting Advisory Board.


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