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+--+-------------------------------------------------------+----------------+ |A.|BILANCA PRIHODKOV IN ODHODKOV: | | | | | | +--+-------------------------------------------------------+----------------+ | |Skupina/podskupina kontov |Realizacija 2004| | | | | +--+-------------------------------------------------------+----------------+ | |I. SKUPAJ PRIHODKI (70+71+72+73+74) |2.304.606.656,49| | | | | +--+-------------------------------------------------------+----------------+ | |TEKOČI PRIHODKI (70+71) |1.318.174.619,93| | | | | +--+-------------------------------------------------------+----------------+ |70|DAVČNI PRIHODKI |1.102.355.313,27| | | | | +--+-------------------------------------------------------+----------------+ | |700 Davki na dohodek in dobiček | 828.975.762,42| | | | | +--+-------------------------------------------------------+----------------+ | |703 Davki na premoženje | 123.126.142,50| | | | | +--+-------------------------------------------------------+----------------+ | |704 Domači davki na blago in storitve | 150.253.408,35| | | | | +--+-------------------------------------------------------+----------------+ | |706 Drugi davki | 0| | | | | +--+-------------------------------------------------------+----------------+ |71|NEDAVČNI PRIHODKI | 215.819.306,66| | | | | +--+-------------------------------------------------------+----------------+ | |710 Udeležba na dobičku in dohodki od premoženja | 152.000.436,73| | | | | +--+-------------------------------------------------------+----------------+ | |711 Takse in pristojbine | 5.37.562,96| | | | | +--+-------------------------------------------------------+----------------+ | |712 Denarne kazni | 440.128,00| | | | | +--+-------------------------------------------------------+----------------+ | |713 Prihodki od prodaje blaga in storitev | 7.642.783,40| | | | | +--+-------------------------------------------------------+----------------+ | |714 Drugi nedavčni prihodki | 50.698.395,57| | | | | +--+-------------------------------------------------------+----------------+ |72|KAPITALSKI PRIHODKI | 57.112.504,88| | | | | +--+-------------------------------------------------------+----------------+ | |720 Prihodki od prodaje osnovnih sredstev | 15.943.268,00| | | | | +--+-------------------------------------------------------+----------------+ | |721 Prihodki od prodaje zalog | 0| | | | | +--+-------------------------------------------------------+----------------+ | |722 Prihodki od prodaje zemljišč in nematerialnega | 41.169.236,48| | |premoženja | | | | | | +--+-------------------------------------------------------+----------------+ |73|PREJETE DONACIJE | 1.889.369,34| | | | | +--+-------------------------------------------------------+----------------+ | |730 Prejete donacije iz domačih virov | 1.475.000,00| | | | | +--+-------------------------------------------------------+----------------+ | |731 Prejete donacije iz tujine | 414.369,34| | | | | +--+-------------------------------------------------------+----------------+ |74|TRANSFERNI PRIHODKI | 927.430.162,74| | | | | +--+-------------------------------------------------------+----------------+ | |740 Transferni prihodki iz drugih javnofinančnih | 927.430.162,74| | |institucij | | | | | | +--+-------------------------------------------------------+----------------+ | |II. SKUPAJ ODHODKI (40+41+42+43) |2.150.662.408,02| | | | | +--+-------------------------------------------------------+----------------+ |40|TEKOČI ODHODKI | 521.807.955,64| | | | | +--+-------------------------------------------------------+----------------+ | |400 Plače in drugi izdatki zaposleni | 122.641.535,71| | | | | +--+-------------------------------------------------------+----------------+ | |401 Prispevki delodajalcev za socialno varnost | 21.285.453,59| | | | | +--+-------------------------------------------------------+----------------+ | |402 Izdatki za blago in storitve | 365.551.475,87| | | | | +--+-------------------------------------------------------+----------------+ | |403 Plačila domačih obresti | 12.329.490,47| | | | | +--+-------------------------------------------------------+----------------+ | |409 Rezerve | 0| | | | | +--+-------------------------------------------------------+----------------+ |41|TEKOČI TRANSFERI | 731.943.765,11| | | | | +--+-------------------------------------------------------+----------------+ | |410 Subvencije | 2.098.045,00| | | | | +--+-------------------------------------------------------+----------------+ | |411 Transferi posameznikom in gospodinjstvom | 438.422.278,26| | | | | +--+-------------------------------------------------------+----------------+ | |412 Transferi neprofitnim organizacijam in ustanovam | 60.663.278,77| | | | | +--+-------------------------------------------------------+----------------+ | |413 Drugi tekoči domači transferi | 230.611.075,02| | | | | +--+-------------------------------------------------------+----------------+ | |414 Tekoči transferi v tujino | 149.088,06| | | | | +--+-------------------------------------------------------+----------------+ |42|INVESTICIJSKI ODHODKI | 822.681.117,01| | | | | +--+-------------------------------------------------------+----------------+ | |420 Nakup in gradnja osnovnih sredstev | 822.681.117,01| | | | | +--+-------------------------------------------------------+----------------+ |43|INVESTICIJSKI TRANSFERI | 74.229.570,26| | | | | +--+-------------------------------------------------------+----------------+ | |430 Investicijski transferi | 74.229.570,26| | | | | +--+-------------------------------------------------------+----------------+ | |III. PRORAČUNSKI PRESEŽEK (I.-II) | 153.944.248,47| | | | | +--+-------------------------------------------------------+----------------+ | |(PRORAČUNSKI PRIMANJKLJAJ) | | | | | | +--+-------------------------------------------------------+----------------+ |B.|RAČUN FINANČNIH TERJATEV IN NALOŽB | 3.242.687,14| | | | | +--+-------------------------------------------------------+----------------+ | |IV. PREJETA VRAČILA DANIH POSOJIL IN PRODAJA KAPITALSKI| 3.242.687,14| | |DELEŽEV (750+751+752) | | | | | | +--+-------------------------------------------------------+----------------+ |75|PREJETA VRAČILA DANIH POSOJIL | 3.242.687,14| | | | | +--+-------------------------------------------------------+----------------+ | |750 Prejeta vračila danih posojil | 3.207.332,90| | | | | +--+-------------------------------------------------------+----------------+ | |751 Prodaja kapitalskih deležev | 35.354,24| | | | | +--+-------------------------------------------------------+----------------+ | |752 Kupnine iz naslova privatizacije | 0| | | | | +--+-------------------------------------------------------+----------------+ | |V. DANA POSOJILA IN POVEČANJE KAPITALSKIH DELEŽEV | 0| | |(440+441+442) | | | | | | +--+-------------------------------------------------------+----------------+ |44|DANA POSOJILA IN POVEČANJE KAPITALSKIH DELEŽEV | | | | | | +--+-------------------------------------------------------+----------------+ | |440 Dana posojila | 0| | | | | +--+-------------------------------------------------------+----------------+ | |441 Povečanje kapitalskih deležev in naložb | 0| | | | | +--+-------------------------------------------------------+----------------+ | |442 Poraba sredstev kupnin iz naslova privatizacije | 0| | | | | +--+-------------------------------------------------------+----------------+ | |VI. PREJETA MINUS DANA POSOJILA IN SPREMEMBE | 0| | |KAPITALSKIH DELEŽEV | | | |(IV. – V.) | | | | | | +--+-------------------------------------------------------+----------------+ |C.|RAČUN FINANCIRANJA | –26.890.169,32| | | | | +--+-------------------------------------------------------+----------------+ | |VII. ZADOLŽEVANJE (500) | 10.302.203,00| | | | | +--+-------------------------------------------------------+----------------+ |50|ZADOLŽEVANJE | 10.302.203,00| | | | | +--+-------------------------------------------------------+----------------+ | |500 Domače zadolževanje | 10.302.203,00| | | | | +--+-------------------------------------------------------+----------------+ | |VIII. ODPLAČILA DOLGA (550) | 37.192.372,32| | | | | +--+-------------------------------------------------------+----------------+ |55|ODPLAČILA DOLGA | 37.192.372,32| | | | | +--+-------------------------------------------------------+----------------+ | |IX. SPREMEMBA STANJA SREDSTEV NA RAČUNIH (I.+IV.+VII.)-| 130.296.766,29| | |(II.+V.+VIII.) | | | | | | +--+-------------------------------------------------------+----------------+ | |X. NETO FINANCIRANJE (VI.+VII.-VIII.-IX=-III.) | –153.944.248,47| | | | | +--+-------------------------------------------------------+----------------+ | |XI. STANJE NA RAČUNU KONEC PRETEKLEGA LETA | 98.327.283,72| | | | | +--+-------------------------------------------------------+----------------+
+-------------------------------------+-----------------+ |taksa za obremenjevanja voda v višini|66.873.493,00 SIT| | | | +-------------------------------------+-----------------+ |stanovanjska sredstva v višini |14.743.272,75 SIT| | | | +-------------------------------------+-----------------+ |udori v višini | 3.519.974,73 SIT| | | | +-------------------------------------+-----------------+ |sredstva krajevnih skupnosti v višini|11.096.444,89 SIT| | | | +-------------------------------------+-----------------+
+----------------------------------------------+------------+ |2. OBLIKOVANJE REZERV | | | | | +----------------------------------------------+------------+ |Stanje sredstev rezerv 1. 1. 2004 |7.427.733,28| | | | +----------------------------------------------+------------+ |I. Oblikovanje sredstev rezerv | 0| | | | +----------------------------------------------+------------+ |II. Poraba sredstev rezerv |1.000.000,00| | | | +----------------------------------------------+------------+ |III. Stanje sredstev rezerv na koncu leta 2004|6.427.733,28| | | | +----------------------------------------------+------------+