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+-------+--------------------------------------+---------------+ |A. |Bilanca prihodkov in odhodkov | v EUR| +-------+--------------------------------------+---------------+ | | | | +-------+--------------------------------------+---------------+ |I. |Skupaj prihodki (70+71+72+73+74) | 24.737.875| +-------+--------------------------------------+---------------+ | |Tekoči prihodki (70+71) | 19.540.939| +-------+--------------------------------------+---------------+ |70 |Davčni prihodki | 13.230.573| +-------+--------------------------------------+---------------+ |71 |Nedavčni prihodki | 6.310.366| +-------+--------------------------------------+---------------+ |72 |Kapitalski prihodki | 1.240.903| +-------+--------------------------------------+---------------+ |73 |Prejete donacije | 228.297| +-------+--------------------------------------+---------------+ |74 |Transferni prihodki | 3.727.736| +-------+--------------------------------------+---------------+ |II. |Skupaj odhodki (40+41+42+43) | 27.655.730| +-------+--------------------------------------+---------------+ |40 |Tekoči odhodki | 6.328.260| +-------+--------------------------------------+---------------+ |41 |Tekoči transferi | 5.415.204| +-------+--------------------------------------+---------------+ |42 |Investicijski odhodki | 12.411.955| +-------+--------------------------------------+---------------+ |43 |Investicijski transferi | 3.500.311| +-------+--------------------------------------+---------------+ |III. |Proračunski presežek (I. – II.) | –2.917.855| +-------+--------------------------------------+---------------+ |B. |Račun finančnih terjatev in naložb | | +-------+--------------------------------------+---------------+ |IV. |Prejeta vračila danih posojil in | 0| | |prodaja kap. deležev | | +-------+--------------------------------------+---------------+ |75 |Prejeta vračila danih posojil | 0| +-------+--------------------------------------+---------------+ |V. |Dana posojila in poveč. kapitalskih | 92.307| | |deležev | | +-------+--------------------------------------+---------------+ |44 |Dana posojila in poveč. kapitalskih | 92.307| | |deležev | | +-------+--------------------------------------+---------------+ |VI. |Prejeta minus dana posojila (IV – V.) | –92.307| +-------+--------------------------------------+---------------+ | | | | +-------+--------------------------------------+---------------+ |C. |Račun financiranja | | +-------+--------------------------------------+---------------+ |VII. |Zadolževanje | 3.000.000| +-------+--------------------------------------+---------------+ |50 |Zadolževanje | 3.000.000| +-------+--------------------------------------+---------------+ |VIII |Odplačila dolga | 100.147| +-------+--------------------------------------+---------------+ |55 |Odplačila dolga | 100.147| +-------+--------------------------------------+---------------+ |IX. |Sprememba stanja sredstev na računih | –110.309| | |(III+VI+VII-VIII) | | +-------+--------------------------------------+---------------+ |X. |Neto zadolževanje (VII-VIII) | 2.899.854| +-------+--------------------------------------+---------------+ |XI. |Neto financiranje (VI+X-IX) | 2.917.855| +-------+--------------------------------------+---------------+ | |Stanje sredstev na računih 31. 12. | 141.000| | |2007 | | +-------+--------------------------------------+---------------+