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+------+-----------------------------------------+--------------+ |A. |BILANCA PRIHODKOV | v eurih| | |IN ODHODKOV | | +------+-----------------------------------------+--------------+ | |Skupina/Podskupina kontov/Konto | Proračun| | | | leta 2012| +------+-----------------------------------------+--------------+ |I. |SKUPAJ PRIHODKI (70+71+72+73+74) | 9.407.647,11| +------+-----------------------------------------+--------------+ | |TEKOČI PRIHODKI (70+71) | 4.669.980,24| +------+-----------------------------------------+--------------+ |70 |DAVČNI PRIHODKI | 3.810.808,00| +------+-----------------------------------------+--------------+ | |700 Davki na dohodek in dobiček | 3.343.343,00| +------+-----------------------------------------+--------------+ | |703 Davki na premoženje | 319.225,00| +------+-----------------------------------------+--------------+ | |704 Domači davki na blago in storitve | 148.240,00| +------+-----------------------------------------+--------------+ | |706 Drugi davki | | +------+-----------------------------------------+--------------+ |71 |NEDAVČNI PRIHODKI | 859.172,24| +------+-----------------------------------------+--------------+ | |710 Udeležba na dobičku in dohodki od | 786.616,10| | |premoženja | | +------+-----------------------------------------+--------------+ | |711 Takse in pristojbine | 2.400,00| +------+-----------------------------------------+--------------+ | |712 Denarne kazni | 2.000,00| +------+-----------------------------------------+--------------+ | |713 Prihodki od prodaje blaga | 19.989,04| | |in storitev | | +------+-----------------------------------------+--------------+ | |714 Drugi nedavčni prihodki | 48.167,10| +------+-----------------------------------------+--------------+ |72 |KAPITALSKI PRIHODKI | 353.111,00| +------+-----------------------------------------+--------------+ | |720 Prihodki od prodaje osnovnih sredstev| 225.294,00| +------+-----------------------------------------+--------------+ | |721 Prihodki od prodaje zalog | | +------+-----------------------------------------+--------------+ | |722 Prihodki od prodaje zemljišč | 127.817,00| | |in neopredmetenih dolgoročnih sredstev | | +------+-----------------------------------------+--------------+ |73 |PREJETE DONACIJE | 123.573,00| +------+-----------------------------------------+--------------+ | |730 Prejete donacije iz domačih virov | 123.573,00| +------+-----------------------------------------+--------------+ | |731 Prejete donacije iz tujine | | +------+-----------------------------------------+--------------+ |74 |TRANSFERNI PRIHODKI | 4.260.982,87| +------+-----------------------------------------+--------------+ | |740 Transferni prihodki iz drugih | 1.003.739,87| | |javnofinančnih institucij | | +------+-----------------------------------------+--------------+ | |741 Prejeta sredstva iz drž. proračuna iz| 3.257.243,00| | |sredstev proračuna EU | | +------+-----------------------------------------+--------------+ |II. |SKUPAJ ODHODKI (40+41+42+43) | 11.248.633,78| +------+-----------------------------------------+--------------+ |40 |TEKOČI ODHODKI | 1.544.030,71| +------+-----------------------------------------+--------------+ | |400 Plače in drugi izdatki zaposlenim | 227.628,00| +------+-----------------------------------------+--------------+ | |401 Prispevki delodajalcev | 48.719,78| | |za socialno varnost | | +------+-----------------------------------------+--------------+ | |402 Izdatki za blago in storitve | 1.184.372,93| +------+-----------------------------------------+--------------+ | |403 Plačila domačih obresti | | +------+-----------------------------------------+--------------+ | |409 Rezerve | 83.310,00| +------+-----------------------------------------+--------------+ |41 |TEKOČI TRANSFERI | 2.099.731,39| +------+-----------------------------------------+--------------+ | |410 Subvencije | 176.365,78| +------+-----------------------------------------+--------------+ | |411 Transferi posameznikom | 1.166.025,00| | |in gospodinjstvom | | +------+-----------------------------------------+--------------+ | |412 Transferi neprofitnim organizacijam | 164.603,00| | |in ustanovam | | +------+-----------------------------------------+--------------+ | |413 Drugi tekoči domači transferi | 592.737,61| +------+-----------------------------------------+--------------+ | |414 Tekoči transferi v tujino | | +------+-----------------------------------------+--------------+ |42 |INVESTICIJSKI ODHODKI | 7.311.367,99| +------+-----------------------------------------+--------------+ | |420 Nakup in gradnja osnovnih sredstev | 7.311.367,99| +------+-----------------------------------------+--------------+ |43 |INVESTICIJSKI TRANSFERI | 293.503,69| +------+-----------------------------------------+--------------+ | |431 Investicijski transferi prav. | 68.057,76| | |in fizič. osebam, ki niso pror. por. | | +------+-----------------------------------------+--------------+ | |432 Investicijski transferi proračunskim | 225.445,93| | |uporabnikom | | +------+-----------------------------------------+--------------+ |III. |PRORAČUNSKI PRESEŽEK (I.-II.) | | +------+-----------------------------------------+--------------+ | |(PRORAČUNSKI PRIMANJKLJAJ) | –1.840.986,67| +------+-----------------------------------------+--------------+ |B. |RAČUN FINANČNIH TERJATEV | | | |IN NALOŽB | | +------+-----------------------------------------+--------------+ |IV. |PREJETA VRAČILA DANIH POSOJIL IN PRODAJA | 1.351.679,00| | |KAPITALSKIH DELEŽEV (750+751+752) | | +------+-----------------------------------------+--------------+ |75 |PREJETA VRAČILA DANIH POSOJIL | 1.351.679,00| +------+-----------------------------------------+--------------+ | |750 Prejeta vračila danih posojil | | +------+-----------------------------------------+--------------+ | |751 Prodaja kapitalskih deležev | 1.350.300,00| +------+-----------------------------------------+--------------+ | |752 Kupnine iz naslova privatizacije | 1.379,00| +------+-----------------------------------------+--------------+ |V. |DANA POSOJILA IN POVEČANJE KAPITALSKIH | 1.618.823,17| | |DELEŽEV (440+441+442+443) | | +------+-----------------------------------------+--------------+ |44 |DANA POSOJILA IN POVEČANJE KAPITALSKIH | 1.618.823,17| | |DELEŽEV | | +------+-----------------------------------------+--------------+ | |440 Dana posojila | | +------+-----------------------------------------+--------------+ | |441 Povečanje kapitalskih deležev | 1.618.388,91| | |in naložb | | +------+-----------------------------------------+--------------+ | |442 Poraba sredstev kupnin | 434,26| | |iz naslova privatizacije | | +------+-----------------------------------------+--------------+ | |443 Povečanje namenskega premoženja v | | | |javnih skladih in drugih osebah javnega | | | |prava, ki imajo premoženje v svoji lasti | | +------+-----------------------------------------+--------------+ |VI. |PREJETA MINUS DANA POSOJILA IN SPREMEMBE | –267.144,17| | |KAPITALSKIH DELEŽEV (IV.-V.) | | +------+-----------------------------------------+--------------+ |C. |RAČUN FINANCIRANJA | | +------+-----------------------------------------+--------------+ |VII. |ZADOLŽEVANJE (500) | 500.000,00| +------+-----------------------------------------+--------------+ |50 |ZADOLŽEVANJE | 500.000,00| +------+-----------------------------------------+--------------+ | |500 Domače zadolževanje | 500.000,00| +------+-----------------------------------------+--------------+ |VIII. |ODPLAČILA DOLGA (550) | | +------+-----------------------------------------+--------------+ |55 |ODPLAČILA DOLGA | | +------+-----------------------------------------+--------------+ | |550 Odplačila domačega dolga | | +------+-----------------------------------------+--------------+ |IX. |POVEČANJE (ZMANJŠANJE) SREDSTEV NA | –1.608.130,84| | |RAČUNIH | | | |(I.+IV.-II.-V.+VII.-VIII.) | | +------+-----------------------------------------+--------------+ |X. |NETO ZADOLŽEVANJE (VII.-VIII.) | 500.000,00| +------+-----------------------------------------+--------------+ |XI. |NETO FINANCIRANJE | 1.840.986,67| | |(VI.+VII.-VIII.-IX.) | | +------+-----------------------------------------+--------------+ | |STANJE SREDSTEV NA RAČUNIH DNE 31. 12. | | | |PRETEKLEGA LETA | | +------+-----------------------------------------+--------------+ | |9009 Splošni sklad za drugo | 1.635.916,53| +------+-----------------------------------------+--------------+