Sunshine Portal · Section
Tourism Department
Cash held in each fund appropriated to Tourism Department for FY2027. Negative balances are highlighted.
Data as of: July 31, 2026Updated: September 12, 20264 records
- Total Cash
- $27,106,692.11
- Funds
- 4
- Negative Funds
- 0
Funds
4 funds appropriated to Tourism Department, sorted by cash held.
FY2027 · Executive
Filters
| Fund | Cash Balance |
|---|---|
| 1880Tourism - Operating | $24,787,830.09 |
| 9190Tourism Enterprise Fund | $1,080,547.33 |
| 2620Litter Control& Beautification | $626,379.98 |
| 3820New Mexico Magazine Division | $611,934.71 |
Showing 1 to 4 of 4 entries
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