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I. SPLOŠNI DEL ZAKLJUČNI RAČUN PRORAČUNA ZA LETO 2010 +-------------------+----------------------------------------------------+ |A. BILANCA | v evrih| |PRIHODKOV IN | | |ODHODKOV | | +-------------------+------------+------------+------------+------+------+ | | Sprejet | Veljavni | Zaključni |Indeks|Indeks| | Konto K2/K3 | proračun | proračun | račun | (3)/ | (3)/ | | | 2010 | (2) | 2010 | (1) | (2) | | | (1) | | (3) | | | +-------------------+------------+------------+------------+------+------+ |I. SKUPAJ PRIHODKI |4.952.019,00|4.955.062,00|3.298.023,90| 66,6| 66,6| |(70+71+72+73+74+78)| | | | | | +----+--------------+------------+------------+------------+------+------+ | |TEKOČI |2.745.837,00|2.748.880,00|2.769.415,03| 100,9| 100,8| | |PRIHODKI | | | | | | | |(70+71) | | | | | | +----+--------------+------------+------------+------------+------+------+ |70 |DAVČNI |2.593.537,00|2.593.537,00|2.644.045,83| 102,0| 102,0| | |PRIHODKI | | | | | | +----+--------------+------------+------------+------------+------+------+ |700 |DAVKI NA |2.419.037,00|2.419.037,00|2.415.848,00| 99,9| 99,9| | |DOHODEK IN | | | | | | | |DOBIČEK | | | | | | +----+--------------+------------+------------+------------+------+------+ |703 |DAVKI NA | 89.500,00| 89.500,00| 108.372,32 | 121,1| 121,1| | |PREMOŽENJE | | | | | | +----+--------------+------------+------------+------------+------+------+ |704 |DOMAČI DAVKI | 85.000,00| 85.000,00| 119.825,51 | 141,0| 141,0| | |NA BLAGO IN | | | | | | | |STORITVE | | | | | | +----+--------------+------------+------------+------------+------+------+ |71 |NEDAVČNI | 152.300,00| 155.343,00| 125.369,20 | 82,3| 80,7| | |PRIHODKI | | | | | | +----+--------------+------------+------------+------------+------+------+ |710 |UDELEŽBA NA | 57.910,00| 57.910,00| 79.713,27 | 137,7| 137,7| | |DOBIČKU IN | | | | | | | |DOHODKI | | | | | | | |OD | | | | | | | |PREMOŽENJA | | | | | | +----+--------------+------------+------------+------------+------+------+ |711 |TAKSE IN | 1.000,00| 1.000,00| 1.338,11 | 133,8| 133,8| | |PRISTOJBINE | | | | | | +----+--------------+------------+------------+------------+------+------+ |712 |GLOBE IN | 1.700,00| 1.700,00| 408,70 | 24,0| 24,0| | |DRUGE | | | | | | | |DENARNE | | | | | | | |KAZNI | | | | | | +----+--------------+------------+------------+------------+------+------+ |714 |DRUGI | 91.690,00| 94.733,00| 43.909,12 | 47,9| 46,4| | |NEDAVČNI | | | | | | | |PRIHODKI | | | | | | +----+--------------+------------+------------+------------+------+------+ |72 |KAPITALSKI | 265.407,00| 265.407,00| 26.718,95 | 10,1| 10,1| | |PRIHODKI | | | | | | +----+--------------+------------+------------+------------+------+------+ |720 |PRIHODKI OD | 14.100,00| 14.100,00| 14.211,98 | 100,8| 100,8| | |PRODAJE | | | | | | | |OSNOVNIH | | | | | | | |SREDSTEV | | | | | | +----+--------------+------------+------------+------------+------+------+ |722 |PRIHODKI OD | 251.307,00| 251.307,00| 12.506,97 | 5,0| 5,0| | |PRODAJE | | | | | | | |ZEMLJIŠČ | | | | | | | |IN | | | | | | | |NEOPREDMETENIH| | | | | | | |SREDSTEV | | | | | | +----+--------------+------------+------------+------------+------+------+ |74 |TRANSFERNI |1.940.775,00|1.940.775,00| 501.889,92 | 25,9| 25,9| | |PRIHODKI | | | | | | +----+--------------+------------+------------+------------+------+------+ |740 |TRANSFERNI |1.940.775,00|1.940.775,00| 501.889,92 | 25,9| 25,9| | |PRIHODKI IZ | | | | | | | |DRUGIH | | | | | | | |JAVNOFINANČNIH| | | | | | | |INSTITUCIJ | | | | | | +-------------------+------------+------------+------------+------+------+ |II. SKUPAJ ODHODKI |5.429.478,00|5.434.821,98|3.452.213,38| 63,6| 63,5| |(40+41+42+43+45) | | | | | | +----+--------------+------------+------------+------------+------+------+ |40 |TEKOČI | 844.646,00|1.024.450,23| 934.337,60 | 110,6| 91,2| | |ODHODKI | | | | | | +----+--------------+------------+------------+------------+------+------+ |400 |PLAČE IN | 272.043,00| 269.106,24| 247.800,17 | 91,1| 92,1| | |DRUGI | | | | | | | |IZDATKI | | | | | | | |ZAPOSLENIM | | | | | | +----+--------------+------------+------------+------------+------+------+ |401 |PRISPEVKI | 38.223,00| 37.959,76| 36.243,37 | 94,8| 95,5| | |DELODAJALCEV | | | | | | | |ZA SOCIALNO | | | | | | | |VARNOST | | | | | | +----+--------------+------------+------------+------------+------+------+ |402 |IZDATKI ZA | 486.880,00| 669.884,23| 622.399,40 | 127,8| 92,9| | |BLAGO IN | | | | | | | |STORITVE | | | | | | +----+--------------+------------+------------+------------+------+------+ |403 |PLAČILA | 35.000,00| 35.000,00| 17.394,66 | 49,7| 49,7| | |DOMAČIH | | | | | | | |OBRESTI | | | | | | +----+--------------+------------+------------+------------+------+------+ |409 |REZERVE | 12.500,00| 12.500,00| 10.500,00 | 84,0| 84,0| +----+--------------+------------+------------+------------+------+------+ |41 |TEKOČI |1.237.272,00|1.228.349,46|1.181.514,90| 95,5| 96,2| | |TRANSFERI | | | | | | +----+--------------+------------+------------+------------+------+------+ |410 |SUBVENCIJE | 39.200,00| 33.600,00| 31.431,86 | 80,2| 93,6| +----+--------------+------------+------------+------------+------+------+ |411 |TRANSFERI | 605.220,00| 602.860,92| 589.577,07 | 97,4| 97,8| | |POSAMEZNIKOM | | | | | | | |IN | | | | | | | |GOSPODINJSTVOM| | | | | | +----+--------------+------------+------------+------------+------+------+ |412 |TRANSFERI | 151.992,00| 149.996,33| 136.986,53 | 90,1| 91,3| | |NEPRIDOBITNIM | | | | | | | |ORGANIZACIJAM | | | | | | | |IN USTANOVAM | | | | | | +----+--------------+------------+------------+------------+------+------+ |413 |DRUGI DOMAČI | 440.860,00| 441.892,21| 423.519,44 | 96,1| 95,8| | |TRANSFERI | | | | | | +----+--------------+------------+------------+------------+------+------+ |42 |INVESTICIJSKI | 3.291360,00|3.126.577,72|1.289.107,3 | 39,2| 41,2| | |ODHODKI | | | | | | +----+--------------+------------+------------+------------+------+------+ |420 |NAKUP IN |3.291.360,00|3.126.577,72|1.289.107,3 | 39,2| 41,2| | |GRADNJA | | | | | | | |OSNOVNIH | | | | | | | |SREDSTEV | | | | | | +----+--------------+------------+------------+------------+------+------+ |43 |INVESTICIJSKI | 56.200,00| 55.444,57| 47.253,85 | 84,1| 85,2| | |TRANSFERI | | | | | | +----+--------------+------------+------------+------------+------+------+ |431 |INVESTICIJSKI | 29.000,00| 32.051,19| 32.051,15 | 110,5| 100,0| | |TRANSFERI | | | | | | | |PRAVNIM | | | | | | | |IN FIZIČNIM | | | | | | | |OSEBAM, KI | | | | | | | |NISO | | | | | | | |PRORAČUNSKI | | | | | | | |UPORABNIKI | | | | | | +----+--------------+------------+------------+------------+------+------+ |432 |INVESTICIJSKI | 27.200,00| 23.393,38| 15.202,70 | 55,9| 65,0| | |TRANSFERI | | | | | | | |PRORAČUNSKIM | | | | | | | |UPORABNIKOM | | | | | | +-------------------+------------+------------+------------+------+------+ |III. PRORAČUNSKI | –477.459,00| –479.759,98|–154.189,48 | 32,3| 32,1| |PRESEŽEK | | | | | | |(PRIMANJKLJAJ) | | | | | | |(I.-II.) (Skupaj | | | | | | |prihodki minus | | | | | | |odhodki) | | | | | | +-------------------+------------+------------+------------+------+------+ |III/1. PRIMARNI | –443.459,00| –445.759,98|–137.098,76 | 30,9| 30,8| |PRESEŽEK | | | | | | |(PRIMANJKLJAJ) | | | | | | |(I.-7102)-(II.- | | | | | | |403-404) (Skupaj | | | | | | |prihodki brez | | | | | | |prihodkov od | | | | | | |obresti minus | | | | | | |skupaj odhodki | | | | | | |brez plačil | | | | | | |obresti) | | | | | | +-------------------+------------+------------+------------+------+------+ |III/2. TEKOČI | 663.919,00| 496.080,31| 653.562,53 | 98,4| 131,8| |PRESEŽEK | | | | | | |(PRIMANJKLJAJ) | | | | | | |(70+71)-(40+41) | | | | | | |(Tekoči prihodki | | | | | | |minus tekoči | | | | | | |odhodki in tekoči | | | | | | |transferi) | | | | | | +-------------------+------------+------------+------------+------+------+ |B. RAČUN FINANČNIH | | | | | | |TERJATEV IN NALOŽB | | | | | | +-------------------+------------+------------+------------+------+------+ |IV. PREJETA | 0,00| 0,00| 0,00 | ---| ---| |VRAČILA DANIH | | | | | | |POSOJIL IN PRODAJA | | | | | | |KAPITALSKIH | | | | | | |DELEŽEV | | | | | | |(750+751+752) | | | | | | +----+--------------+------------+------------+------------+------+------+ |75 |PREJETA | 0,00| 0,00| 0,00 | ---| ---| | |VRAČILA | | | | | | | |DANIH | | | | | | | |POSOJIL IN | | | | | | | |PRODAJA | | | | | | | |KAPITALSKIH | | | | | | | |DELEŽEV | | | | | | +----+--------------+------------+------------+------------+------+------+ |750 |PREJETA | 0,00| 0,00| 0,00 | ---| ---| | |VRAČILA | | | | | | | |DANIH | | | | | | | |POSOJIL | | | | | | +-------------------+------------+------------+------------+------+------+ |VI. PREJETA MINUS | 0,00| 0,00| 0,00 | ---| ---| |DANA POSOJILA IN | | | | | | |SPREMEMBE | | | | | | |KAPITALSKIH | | | | | | |DELEŽEV (IV.-V.) | | | | | | +-------------------+------------+------------+------------+------+------+ |C. RAČUN | | | | | | |FINANCIRANJA | | | | | | +-------------------+------------+------------+------------+------+------+ |VII. ZADOLŽEVANJE | 850.000,00| 850.000,00| 271.344,09 | 31,9| 31,9| |(500+501) | | | | | | +----+--------------+------------+------------+------------+------+------+ |50 |ZADOLŽEVANJE | 850.000,00| 850.000,00| 271.344,09 | 31,9| 31,9| +----+--------------+------------+------------+------------+------+------+ |500 |DOMAČE | 850.000,00| 850,000,00| 271.344,09 | 31,9| 31,9| | |ZADOLŽEVANJE | | | | | | +-------------------+------------+------------+------------+------+------+ |VIII. ODPLAČILA | 455.000,00| 455.000,00| 141.938,04 | 31,2| 31,2| |DOLGA (550+551) | | | | | | +----+--------------+------------+------------+------------+------+------+ |55 |ODPLAČILA | 455.000,00| 455.000,00| 141.938,04 | 31,2| 31,2| | |DOLGA | | | | | | +----+--------------+------------+------------+------------+------+------+ |550 |ODPLAČILA | 455.000,00| 455.000,00| 141.938,04 | 31,2| 31,2| | |DOMAČEGA | | | | | | | |DOLGA | | | | | | +-------------------+------------+------------+------------+------+------+ |IX. SPREMEMBA | –82.459,00| –84.759,98| –24.783,43 | 30,1| 29,2| |STANJA SREDSTEV NA | | | | | | |RAČUNU | | | | | | |(I.+IV.+VII.-II.- | | | | | | |V.-VIII.) | | | | | | +-------------------+------------+------------+------------+------+------+ |X. NETO | 395.000,00| 395.000,00| 129.406,05 | 32,8| 32,8| |ZADOLŽEVANJE | | | | | | |(VII.-VIII.) | | | | | | +-------------------+------------+------------+------------+------+------+ |XI. NETO | 477.459,00| 479.759,98| 154.189,48 | 32,3| 32,1| |FINANCIRANJE | | | | | | |(VI.+X.-IX.) | | | | | | +-------------------+------------+------------+------------+------+------+ |XII. STANJE | 82.459,00| 82.459,00| 154.559,72 | | | |SREDSTEV NA | | | | | | |RAČUNIH NA DAN 31. | | | | | | |12. 2009 | | | | | | +-------------------+------------+------------+------------+------+------+