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COMUNICADO DICAR N° 092, DE 19 DE DEZEMBRO DE 2022

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(DOE de 20.12.2022)

Divulga Tabela Prática para Atualização dos Débitos Fiscais relativos ao ICMS, por meio da UFESP mensal, aplicável no período de 1° de janeiro a 31 de dezembro de 2023

O DIRETOR SUBSTITUTO DE ARRECADAÇÃO, COBRANÇA E RECUPERAÇÃO DE DÍVIDA divulga a Tabela Prática para Atualização dos Débitos Fiscais relativos ao ICMS, por meio da UFESP mensal, aplicável no período de 1° de janeiro a 31 de dezembro de 2023.

TABELA PRÁTICA PARA ATUALIZAÇÃO MONETÁRIA DE DÉBITOS FISCAIS RELATIVOS AO ICMS ANEXA AO COMUNICADO DICAR-92, DE 19/12/2022

ANOJANEIROFEVEREIROMARÇOABRILMAIOJUNHOJULHOAGOSTOSETEMBROOUTUBRONOVEMBRODEZEMBRO
910,007675240,006384860,005228040,004696780,004381340,004125180,003876200,003496960,003085260,002695730,002250950,00178544
920,001413380,001138620,000931710,000781350,000638140,000524540,000429020,000353290,000292680,000236780,000188350,00015328
930,000123950,000099300,000078590,000061470,000048590,000038440,000029570,022750970,017286210,013033760,009714830,00705598
940,005149740,003766120,002773370,001937650,001338710,000909541,698602791,639691711,575925931,550091071,522361361,47743056
951,444821731,444821731,444821731,385993491,385993491,385993491,293313071,293313071,293313071,229768791,229768791,22976879
961,180305131,180305131,180305131,180305131,180305131,180305131,105194811,105194811,105194811,105194811,105194811,10519481
971,073139971,073139971,073139971,073139971,073139971,073139971,073139971,073139971,073139971,073139971,073139971,07313997
981,016726401,016726401,016726401,016726401,016726401,016726401,016726401,016726401,016726401,016726401,016726401,01672640
991,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
011,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
021,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
031,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
041,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
051,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
061,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
071,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
081,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
091,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
101,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
111,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
121,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
131,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
141,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
151,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
161,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
171,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
181,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
191,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
201,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
211,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
221,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000
231,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,000000001,00000000

OBS.: 1) PARA CONVERSÃO DOS DÉBITOS EM REAIS:

multiplicar o coeficiente do mês específico pelo valor original, em moeda da época, e se obterá o valor corrigido (principal + correção monetária) na moeda vigente.

2) APÓS ATUALIZAR MONETARIAMENTE O DÉBITO FISCAL, CALCULAR OS JUROS DE MORA DEVIDOS

3) VALORES ORIGINAIS:

– até 27/02/86, CRUZEIROS,

– de 28/02/86 a 15/01/89, CRUZADOS,

– de 16/01/89 a 15/03/90, CRUZADOS NOVOS,

– de 16/03/90 a 31/07/93, CRUZEIROS,

– de 01/08/93 a 30/06/94, CRUZEIROS REAIS,

– após 30/06/94, REAIS

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