Actif · Bilan 2020 · Ville de Paris
Trésorerie (Actif)
On the City of Paris's 2020 balance sheet, cash (assets) stands at €98.6M, 0.2% of assets.
Source: City of Paris, management account (balance sheet), data as of 21 April 2026.
Cash held at the Treasury (a legal deposit requirement). Varies with the timing of revenue and spending.
Treasury account · short-term placements
99€M
net book value, 2020 balance sheet
What it contains
1 sub-items, at net value.
Cash100.0% of this item99€M
Historical book value, not market value: monuments, old land and artworks are undervalued. No building-level detail in open data.