Return to search results
Cashflow Report
Inputs to and outlays from the claims reimbursement account, with projected days on hand of cash available to pay claims (weekly, and daily during the peak period of March 1st though May 30th)
Complete Metadata
| @type | dcat:Dataset |
|---|---|
| accessLevel | non-public |
| bureauCode |
[
"027:00"
]
|
| contactPoint |
{
"fn": "datadrivenworkforce@opm.gov",
"@type": "vcard:Contact",
"hasEmail": "mailto:datadrivenworkforce@opm.gov"
}
|
| description | Inputs to and outlays from the claims reimbursement account, with projected days on hand of cash available to pay claims (weekly, and daily during the peak period of March 1st though May 30th) |
| identifier | OPM-HI-0024 |
| keyword |
[
" Report",
"Insurance"
]
|
| language |
[
"en-US"
]
|
| license | http://www.usa.gov/publicdomain/label/1.0/ |
| modified |
"2023"
|
| programCode |
[
"027:000"
]
|
| publisher |
{
"name": "U.S. Office of Personnel Management",
"@type": "org:Organization"
}
|
| title | Cashflow Report |