{
  "fields": [{"id":"_id","type":"int"},{"id":"区分","type":"text"},{"id":"2016年度予算額（千円）","type":"numeric"},{"id":"2016年度決算額（千円）","type":"numeric"},{"id":"2017年度予算額（千円）","type":"numeric"},{"id":"2017年度決算額（千円）","type":"numeric"},{"id":"2018年度予算額（千円）","type":"numeric"},{"id":"201８年度決算額（千円）","type":"numeric"},{"id":"2019年度予算額（千円）","type":"numeric"},{"id":"2019年度決算額（千円）","type":"numeric"},{"id":"2020年度予算額（千円）","type":"numeric"},{"id":"2020年度決算額（千円）","type":"numeric"}],
  "records": [
    [1,"水道事業収益",11003214,11137383,10929922,11061176,10821346,11228971,10991643,10903220,11015262,10838471],
    [2,"営業収益",9804619,9964017,9761566,9985266,9695639,9982606,9871979,9853056,10004326,9850842],
    [3,"営業外収益",1185886,1158541,1164728,1071904,1029090,1083646,1116664,1028677,1000180,974314],
    [4,"特別利益",12709,14826,3628,4007,96617,162719,3000,21487,10756,13314],
    [5,"水道事業費用",10294723,9285462,10043674,9414026,9476275,9200863,9873470,9394299,9574714,9070048],
    [6,"営業費用",9744173,8765328,9614884,9013692,9051679,8798461,9588128,9150720,9291835,8833852],
    [7,"営業外費用",509238,509238,381706,381706,372586,372586,210520,208172,192623,192623],
    [8,"特別損失",26312,10896,32084,18628,41932,29816,59822,35407,75256,43573],
    [9,"予備費",15000,0,15000,0,10079,0,15000,0,15000,0],
    [10,"資本的収入",2674220,1668542,2067055,1376344,2114209,1665660,1161861,772425,1577830,741833],
    [11,"企業債",2050000,1500000,1850000,1200000,1950000,1250000,1000000,654000,1446000,676000],
    [12,"出資金",72000,72000,54000,54000,35000,35000,19000,19000,0,0],
    [13,"負担金",182596,90403,153919,109251,125114,76867,142861,99414,128061,61850],
    [14,"補助金",10789,6110,9135,6760,2363,1011,0,0,3769,3769],
    [15,"固定資産売却代",358835,29,1,6333,1732,302782,0,11,0,214],
    [16,"資本的支出",8324147,5232319,8492552,5653386,8673484,5675843,10994278,8142794,9737989,5995525],
    [17,"建設改良費",6830395,3738566,7103823,4264657,7332734,4335093,7794704,4943220,8613969,4871624],
    [18,"投資",72000,72000,54000,54000,35000,35000,2019000,2019000,0,0],
    [19,"企業債償還金",1421752,1421752,1334729,1334729,1305750,1305750,1180574,1180574,1124020,1123901]
]}
