Overview

Statistics on public finance are compiled by the Ministry of Finance, Accountant-General’s Department, Monetary Authority of Singapore, Inland Revenue Authority of Singapore, and Singapore Customs.  Annual Government Budget is based on the financial year (FY) of the Government, which runs from 1 April of the year to 31 March of the following year. 

Statistics on government employees are compiled by Public Service Division from Prime Minister’s Office. 

Debug: relatedSubjects length = 9Business Cycle Indicators (/find-data/explore-data-themes/economy-prices/business-cycle-indicators), Consumer Price Index (/find-data/explore-data-themes/economy-prices/consumer-price-index), Household Sector Economic Indicators (/find-data/explore-data-themes/economy-prices/household-sector-economic-indicators), International Accounts (/find-data/explore-data-themes/economy-prices/international-accounts), Labour, Employment, Wages and Productivity (/find-data/explore-data-themes/economy-prices/labour-employment-wages-and-productivity), National Accounts (/find-data/explore-data-themes/economy-prices/national-accounts), Producer and International Trade Price Indices (/find-data/explore-data-themes/economy-prices/producer-and-international-trade-price-indices), Property Price Indices (/find-data/explore-data-themes/economy-prices/property-price-indices), Supply, Use and Input-Output Tables (/find-data/explore-data-themes/economy-prices/supply-use-and-input-output-tables)

Latest Data

Item Unit Latest Period Latest Data
% Change (Y-o-Y)
Previous Period Data
% Change (Y-o-Y)
Cash Surplus/Deficit S$m Jan-26 2,706.9 -394.5 -10,226.9 -14.7
Net Cash Inflow from Operating Activities S$m Jan-26 2,187.4 -226.3 -11,239.1 -8.2
Cash Receipts from Operating Activities S$m Jan-26 9,346.3 28.8 8,071.2 11.7
Cash Payments for Operating Activities S$m Jan-26 7,158.9 -20.4 19,310.3 -0.8
Net Cash Outflow from Investments in Non-Financial assets S$m Jan-26 -519.5 -36.1 -1,012.2 290.1
Purchases of Non-Financial assets S$m Jan-26 585.3 -19.7 1,299.9 14.8
Sales of Non-Financial Assets S$m Jan-26 1,104.8 -28.3 2,312.1 66.2
Net Cash Inflow from Financing Activities S$m Jan-26 7,686.5 -52.8 17,132.9 27.3
Net Incurrence of Liabilities S$m Jan-26 7,776.2 -52.2 17,113.4 26.9
Domestic S$m Jan-26 7,776.2 -52.2 17,113.4 26.9
Foreign S$m Jan-26 0.0 0.0 0.0 0.0
Net Acquisition of Financial Assets other than Cash S$m Jan-26 89.7 -4,585.0 -19.5 -155.1
Domestic excluding Cash S$m Jan-26 89.7 -4,585.0 -19.5 -155.1
Foreign excluding Cash S$m Jan-26 0.0 0.0 0.0 0.0
             
Government Debt            
Central Government Debt S$m 4Q 2025 1,311,126.1 3.6 1,303,760.2 5.6
External Debt S$m 4Q 2025 0.0 na 0.0 na
Domestic Debt S$m 4Q 2025 1,311,126.1 3.6 1,303,760.2 5.6
Issued for Non-Spending Purposes S$m 4Q 2025 1,291,526.2 3.3 1,285,160.2 5.2
Issued for Spending Purposes S$m 4Q 2025 19,600 28.9 18,600 35.8
Domestic Debt (Excluding Advance Deposits) S$m 4Q 2025 1,292,369.5 3.9 1,290,216.9 5.5
1 year maturity or less S$m 4Q 2025 170,347.9 3.1 162,096.7 5.5
More than 1 year maturity S$m 4Q 2025 1,122,021.6 4.1 1,128,120.2 5.5
             
Overall Fiscal Position            
Operating Revenue S$m FY 2026 134,753.9 3.0 130,860.6 13.3
Total Expenditure S$m FY 2026 137,323.4 10.3 124,459.3 10.8
Operating Expenditure S$m FY 2026 103,269.2 6.0 97,468.1 9.6
Development Expenditure S$m FY 2026 34,054.3 26.2 26,991.1 15.4
Primary Surplus/Deficit S$m FY 2026 -2,569.5 na 6,401.4 na
Special Transfers S$m FY 2026 21,736.2 -7.0 23,371.9 -6.5
Special Transfers Excluding Top-ups to Statutory and Trust Funds  S$m FY 2026 2,836.2 -24.8 3,771.9 27.6
Basic Surplus/Deficit S$m FY 2026 -5,405.7 na 2,629.5 na
Top-ups to Statutory and Trust Funds S$m FY 2026 18,900.0 -3.6 19,600.0 -11.1
Net Investment Returns Contribution S$m FY 2026 28,481.7 3.4 27,534.3 14.4
Overall Budget Surplus/Deficit S$m FY 2026 4,176.0 na 10,563.7 na
Capitalisation of Nationally Significant Infrastructure S$m FY 2026 5,018.9 -0.3 5,032.3 19.8
Depreciation of Nationally Significant Infrastructure S$m FY 2026 - - - -
SINGA Interest Costs and Loan Expenses S$m FY 2026 651.8 32.2 493.0 31.3
Overall Fiscal Position S$m FY 2026 8,543.1 na 15,103.0 na

Item Unit Latest Period Latest Data
% Change (Y-o-Y)
Previous Period Data
% Change (Y-o-Y)
Cash Surplus/Deficit S$m Jan-26 2,706.9 -394.5 -10,226.9 -14.7
Net Cash Inflow from Operating Activities S$m Jan-26 2,187.4 -226.3 -11,239.1 -8.2
Cash Receipts from Operating Activities S$m Jan-26 9,346.3 28.8 8,071.2 11.7
Cash Payments for Operating Activities S$m Jan-26 7,158.9 -20.4 19,310.3 -0.8
Net Cash Outflow from Investments in Non-Financial assets S$m Jan-26 -519.5 -36.1 -1,012.2 290.1
Purchases of Non-Financial assets S$m Jan-26 585.3 -19.7 1,299.9 14.8
Sales of Non-Financial Assets S$m Jan-26 1,104.8 -28.3 2,312.1 66.2
Net Cash Inflow from Financing Activities S$m Jan-26 7,686.5 -52.8 17,132.9 27.3
Net Incurrence of Liabilities S$m Jan-26 7,776.2 -52.2 17,113.4 26.9
Domestic S$m Jan-26 7,776.2 -52.2 17,113.4 26.9
Foreign S$m Jan-26 0.0 0.0 0.0 0.0
Net Acquisition of Financial Assets other than Cash S$m Jan-26 89.7 -4,585.0 -19.5 -155.1
Domestic excluding Cash S$m Jan-26 89.7 -4,585.0 -19.5 -155.1
Foreign excluding Cash S$m Jan-26 0.0 0.0 0.0 0.0
             
Government Debt            
Central Government Debt S$m 4Q 2025 1,311,126.1 3.6 1,303,760.2 5.6
External Debt S$m 4Q 2025 0.0 na 0.0 na
Domestic Debt S$m 4Q 2025 1,311,126.1 3.6 1,303,760.2 5.6
Issued for Non-Spending Purposes S$m 4Q 2025 1,291,526.2 3.3 1,285,160.2 5.2
Issued for Spending Purposes S$m 4Q 2025 19,600 28.9 18,600 35.8
Domestic Debt (Excluding Advance Deposits) S$m 4Q 2025 1,292,369.5 3.9 1,290,216.9 5.5
1 year maturity or less S$m 4Q 2025 170,347.9 3.1 162,096.7 5.5
More than 1 year maturity S$m 4Q 2025 1,122,021.6 4.1 1,128,120.2 5.5
             
Overall Fiscal Position            
Operating Revenue S$m FY 2026 134,753.9 3.0 130,860.6 13.3
Total Expenditure S$m FY 2026 137,323.4 10.3 124,459.3 10.8
Operating Expenditure S$m FY 2026 103,269.2 6.0 97,468.1 9.6
Development Expenditure S$m FY 2026 34,054.3 26.2 26,991.1 15.4
Primary Surplus/Deficit S$m FY 2026 -2,569.5 na 6,401.4 na
Special Transfers S$m FY 2026 21,736.2 -7.0 23,371.9 -6.5
Special Transfers Excluding Top-ups to Statutory and Trust Funds  S$m FY 2026 2,836.2 -24.8 3,771.9 27.6
Basic Surplus/Deficit S$m FY 2026 -5,405.7 na 2,629.5 na
Top-ups to Statutory and Trust Funds S$m FY 2026 18,900.0 -3.6 19,600.0 -11.1
Net Investment Returns Contribution S$m FY 2026 28,481.7 3.4 27,534.3 14.4
Overall Budget Surplus/Deficit S$m FY 2026 4,176.0 na 10,563.7 na
Capitalisation of Nationally Significant Infrastructure S$m FY 2026 5,018.9 -0.3 5,032.3 19.8
Depreciation of Nationally Significant Infrastructure S$m FY 2026 - - - -
SINGA Interest Costs and Loan Expenses S$m FY 2026 651.8 32.2 493.0 31.3
Overall Fiscal Position S$m FY 2026 8,543.1 na 15,103.0 na

Detailed Statistical Time Series: Public Finance

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Detailed Statistical Time Series: Public Sector

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