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+-----+-----+------------------------+---------------------------------------+ |Konto| |OPIS | REBALANS 2005 | +-----+-----+------------------------+-------------+-----------+-------------+ | | | | Proračun | KS|Konsolidirana| +-----+-----+------------------------+-------------+-----------+-------------+ | |A. |BILANCA PRIHODKOV IN | | | | | | |ODHODKOV | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | |I. |SKUPAJ PRIHODKI |4.869.465.000|505.480.000|4.984.147.000| | | |(70+71+72+73+74+78) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | | |TEKOČI PRIHODKI (70+71) |2.739.371.000| 88.190.000|2.827.561.000| +-----+-----+------------------------+-------------+-----------+-------------+ | 70| |DAVČNI PRIHODKI |2.293.378.000| 38.974.000|2.332.352.000| | | |(700+703+704+706) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 700| |Davki na dohodek in |1.538.690.000| |1.538.690.000| | | |dobiček | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 703| |Davki na premoženje | 378.172.000 | | 378.172.000 | +-----+-----+------------------------+-------------+-----------+-------------+ | 704| |Domači davki na blago | 376.516.000 | 38.974.000| 415.490.000 | | | |in storitve | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 71| |NEDAVČNI PRIHODKI | 445.993.000 | 49.216.000| 495.209.000 | | | |(710+711+712+713+714) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 710| |Udeležba na dobičku in | 105.896.000 | 20.810.000| 126.706.000 | | | |dohodki od premoženja | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 711| |Takse in pristojbine | 14.456.000 | | 14.456.000 | +-----+-----+------------------------+-------------+-----------+-------------+ | 712| |Denarne kazni | 6.818.000 | | 6.818.000 | +-----+-----+------------------------+-------------+-----------+-------------+ | 713| |Prihodki od prodaje | | 17.396.000| 17.396.000 | | | |blaga in storitev | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 714| |Drugi nedavčni prihodki | 318.823.000 | 11.010.000| 329.833.000 | +-----+-----+------------------------+-------------+-----------+-------------+ | 72| |KAPITALSKI PRIHODKI | 486.274.000 | 21.834.000| 508.108.000 | | | |(720+721+722) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 720| |Prihodki od prodaje | 80.350.000 | 21.834.000| 102.184.000 | | | |osnovnih sredstev | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 722| |Prihodki od prodaje | 405.924.000 | | 405.924.000 | | | |zemljišč in | | | | | | |nematerialnega | | | | | | |premoženja | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 73| |PREJETE DONACIJE (730) | 0 | 140000| 140000 | +-----+-----+------------------------+-------------+-----------+-------------+ | 730| |Prejete donacije iz | | 140.000| 140.000 | | | |domačih virov | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 74| |TRANSFERNI PRIHODKI |1.638.620.000|395.316.000|1.643.138.000| | | |(740) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 740| |Transferni prihodki iz |1.638.620.000|395.316.000|1.643.138.000| | | |drugih javnofinančnih | | | | | | |institucij | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 78| |PREJETA SREDSTVA IZ | 5.200.000 | 0| 5.200.000 | | | |EVROPSKE UNIJE | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 786| |Ostala prejeta sredstva | 5.200.000 | | 5.200.000 | | | |iz proračuna Evropske | | | | | | |unije | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | |II. |SKUPAJ ODHODKI |5.186.087.000|593.375.000|5.388.664.000| | | |(40+41+42+43) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 40| |TEKOČI ODHODKI | 797.725.000 |190.374.000| 988.099.000 | | | |(400+401+402+403+409) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 400| |Plače in drugi izdatki | 204.765.000 | 8.872.000| 213.637.000 | | | |zaposlenim | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 401| |Prispevki delodajalcev | 33.197.000 | 1.621.000| 34.818.000 | | | |za socialno varnost | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 402| |Izdatki za blago in | 508.763.000 |179.881.000| 688.644.000 | | | |storitve | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 403| |Plačila domačih obresti | 24.000.000 | | 24.000.000 | +-----+-----+------------------------+-------------+-----------+-------------+ | 409| |Rezerve | 27.000.000 | | 27.000.000 | +-----+-----+------------------------+-------------+-----------+-------------+ | 41| |TEKOČI TRANSFERI |1.664.635.000| 15.785.000|1.568.788.000| | | |(410+411+412+413) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 410| |Subvencije | 28.600.000 | | 28.600.000 | +-----+-----+------------------------+-------------+-----------+-------------+ | 411| |Transferi posameznikom | 866.135.000 | 834.000| 866.969.000 | | | |in gospodinjstvom | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 412| |Transferi neprofitnim | 158.680.000 | 14.951.000| 173.631.000 | | | |organizacijam in | | | | | | |ustanovam | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 413| |Drugi tekoči domači | 611.220.000 | | 499.588.000 | | | |transferi | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 42| |INVESTICIJSKI ODHODKI |2.134.607.000|365.198.000|2.499.805.000| | | |(420) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 420| |Nakup in gradnja |2.134.607.000|365.198.000|2.499.805.000| | | |osnovnih sredstev | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 43| |INVESTICIJSKI TRANSFERI | 589.120.000 | 22.018.000| 331.972.000 | | | |(430) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 431| |investicijski transferi | 195.720.000 | 3.801.000| 199.521.000 | | | |pravnim in fizičnim | | | | | | |osebam, ki niso | | | | | | |proračunski uporabniki | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 432| |Investicijski transferi | 393.400.000 | 18.217.000| 132.451.000 | | | |proračunskim | | | | | | |uporabnikom | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | |III. |PRORAČUNSKI PRESEŽEK |-316.622.000 |-87.895.000|-404.517.000 | | | |(PRIMANJKLJAJ) = (I. - | | | | | | |II.) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | |B. |RAČUN FINANČNIH | | | | | | |TERJATEV IN NALOŽB | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 75|IV. |PREJETA VRAČILA DANIH | 0 | 0| 0 | | | |POSOJIL IN PRODAJA | | | | | | |KAPITALSKIH DELEŽEV | | | | | | |(750) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 750| |Prejeta vračila danih | | | | | | |posojil | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 44|V. |DANA POSOJILA IN | 0 | 0| 0 | | | |POVEČANJE KAPITALSKIH | | | | | | |DELEŽEV (440+441) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 440| |Dana posojila | 0 | 0| 0 | +-----+-----+------------------------+-------------+-----------+-------------+ | |VI. |PREJETA MINUS DANA | 0 | 0| 0 | | | |POSOJILA IN SPREM. | | | | | | |KAPIT. DELEŽEV (IV. - | | | | | | |V.) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | |C. |RAČUN FINANCIRANJA | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | 50|VII. |ZADOLŽEVANJE (500) | 300.000.000 | 0| 300.000.000 | +-----+-----+------------------------+-------------+-----------+-------------+ | 500| |Domače zadolževanje | 300.000.000 | | 300.000.000 | +-----+-----+------------------------+-------------+-----------+-------------+ | 55|VIII.|ODPLAČILA DOLGA (550) | 31.100.000 | 0| 31.100.000 | +-----+-----+------------------------+-------------+-----------+-------------+ | 550| |Odplačila domačega | 31.100.000 | | 31.100.000 | | | |dolga | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | |IX. |POVEČANJE (ZMANJŠANJE) | -47.722.000 |-87.895.000|-135.617.000 | | | |SREDSTEV NA RAČUNIH | | | | | | |(I.+IV.+VII.-II.-V.- | | | | | | |VIII.) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | |X. |NETO ZADOLŽEVANJE | 268.900.000 | 0| 268.900.000 | | | |(VII.-VIII.) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | | |NETO FINANCIRANJE | 316.622.000 | 87.895.000| 404.517.000 | | | |(VI.+VII.-VIII.-IX.) | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | | |STANJE SREDSTEV NA | 53.462.000 | 87.895.000| 141.357.000 | | | |RAČUNIH KONEC | | | | | | |PRETEKLEGA LETA | | | | +-----+-----+------------------------+-------------+-----------+-------------+ | | |OSTANEK SREDSTEV | 5.740.000 | 0| 5.740.000 | +-----+-----+------------------------+-------------+-----------+-------------+