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v EUR +---------------------------------------------------------------+ | A. BILANCA PRIHODKOV IN ODHODKOV | +----------------+----------------------------+-----------------+ |SKUPINA, PODSK. | | ZAKLJUČNI RAČUN| | | | 2014| +-------+--------+----------------------------+-----------------+ | | | | | +-------+--------+----------------------------+-----------------+ | |I. |SKUPAJ PRIHODKI | 14.373.330,64| | | |(70+71+72+73+74+78) | | +-------+--------+----------------------------+-----------------+ | | |TEKOČI PRIHODKI (70+71) | 11.536.818,86| +-------+--------+----------------------------+-----------------+ | 70 | |DAVČNI PRIHODKI | 9.771.775,84| +-------+--------+----------------------------+-----------------+ | | 700|Davki na dohodek in dobiček | 9.248.216,00| +-------+--------+----------------------------+-----------------+ | | 703|Davki na premoženje | 174.111,12| +-------+--------+----------------------------+-----------------+ | | 704|Domači davki na blago in | 349.448,72| | | |storitve | | +-------+--------+----------------------------+-----------------+ | | 706|Drugi davki | 0,00| +-------+--------+----------------------------+-----------------+ | 71 | |NEDAVČNI PRIHODKI | 1.765.043,02| +-------+--------+----------------------------+-----------------+ | | 710|Udeležba na dobičku in | 936.304,01| | | |dohodki od premoženja | | +-------+--------+----------------------------+-----------------+ | | 711|Takse in pristojbine | 9.999,87| +-------+--------+----------------------------+-----------------+ | | 712|Globe in denarne kazni | 56.795,43| +-------+--------+----------------------------+-----------------+ | | 713|Prihodki od prodaje blaga in| 86.536,51| | | |storitev | | +-------+--------+----------------------------+-----------------+ | | 714|Drugi nedavčni prihodki | 675.407,20| +-------+--------+----------------------------+-----------------+ | 72 | |KAPITALSKI PRIHODKI | 23.270,63| +-------+--------+----------------------------+-----------------+ | | 720|Prihodki od prodaje osnovnih| 355,63| | | |sredstev | | +-------+--------+----------------------------+-----------------+ | | 721|Prihodki od prodaje zalog | 0,00| +-------+--------+----------------------------+-----------------+ | | 722|Prihodki od prodaje zemljišč| 22.915,00| | | |in neopredmetenih | | | | |dolgoročnih sred. | | +-------+--------+----------------------------+-----------------+ | 73 | |PREJETE DONACIJE | 201.713,71| +-------+--------+----------------------------+-----------------+ | | 730|Prejete donacije iz domačih | 201.713,71| | | |virov | | +-------+--------+----------------------------+-----------------+ | 74 | |TRANSFERNI PRIHODKI | 2.596.527,44| +-------+--------+----------------------------+-----------------+ | | 740|Transferni prihodki iz | 994.263,46| | | |drugih javnofinančnih | | | | |institucij | | +-------+--------+----------------------------+-----------------+ | | 741|Prejeta sredstva iz | 1.602.263,98| | | |državnega proračuna iz sred.| | | | |proračuna Evropske unije | | +-------+--------+----------------------------+-----------------+ | 78 | |PREJETA SREDSTVA IZ EVROPSKE| 15.000,00| | | |UNIJE | | +-------+--------+----------------------------+-----------------+ | | 786|Ostala prejeta sredstva iz | 15.000,00| | | |proračuna Evropske unije | | +-------+--------+----------------------------+-----------------+ | |II. |SKUPAJ ODHODKI | 15.214.589,46| | | |(40+41+42+43+45) | | +-------+--------+----------------------------+-----------------+ | 40 | |TEKOČI ODHODKI | 3.253.840,57| +-------+--------+----------------------------+-----------------+ | | 400|Plače in drugi izdatki | 609.439,06| | | |zaposlenim | | +-------+--------+----------------------------+-----------------+ | | 401|Prispevki delodajalcev za | 93.857,57| | | |socialno varstvo | | +-------+--------+----------------------------+-----------------+ | | 402|Izdatki za blago in storitve| 2.530.543,94| +-------+--------+----------------------------+-----------------+ | | 403|Plačila domačih obresti | 0,00| +-------+--------+----------------------------+-----------------+ | | 409|Rezerve | 20.000,00| +-------+--------+----------------------------+-----------------+ | 41 | |TEKOČI TRANSFERI | 4.773.892,43| +-------+--------+----------------------------+-----------------+ | | 410|Subvencije | 93.294,78| +-------+--------+----------------------------+-----------------+ | | 411|Transferi posameznikom in | 3.111.109,79| | | |gospodinjstvom | | +-------+--------+----------------------------+-----------------+ | | 412|Transferi neprofitnim | 594.846,80| | | |organizacijam in ustanovam | | +-------+--------+----------------------------+-----------------+ | | 413|Drugi tekoči domači | 974.641,06| | | |transferi | | +-------+--------+----------------------------+-----------------+ | 42 | |INVESTICIJSKI ODHODKI | 6.955.976,46| +-------+--------+----------------------------+-----------------+ | | 420|Nakup in gradnja osnovnih | 6.955.976,46| | | |sredstev | | +-------+--------+----------------------------+-----------------+ | 43 | |INVESTICIJSKI TRANSFERI | 230.880,00| +-------+--------+----------------------------+-----------------+ | | 431|Invest. transferi pravnim in| 177.200,00| | | |fizičnim osebam, ki niso | | | | |proračunski uporabniki | | +-------+--------+----------------------------+-----------------+ | | 432|Investicijski transferi | 53.680,00| | | |proračunskim uporabnikom | | +-------+--------+----------------------------+-----------------+ | |III. |PRESEŽEK ALI PRIMANJKLJAJ | –841.258,82| | | |(I.–II.) | | +---------------------------------------------------------------+ | B. RAČUN FINANČNIH TERJATEV IN NALOŽB | +-------+--------+----------------------------+-----------------+ | |IV. |PREJETA VRAČILA DANIH | 134,20| | | |POSOJIL IN PRODAJA | | | | |KAPITALSKIH DELEŽEV | | | | |(750+751+752) | | +-------+--------+----------------------------+-----------------+ | 75 | |PREJETA VRAČILA DANIH | 134,20| | | |POSOJIL | | +-------+--------+----------------------------+-----------------+ | | 750|Prejeta vračila danih | 0,00| | | |posojil | | +-------+--------+----------------------------+-----------------+ | | 751|Prodaja kapitalskih deležev | 0,00| +-------+--------+----------------------------+-----------------+ | | 752|Kupnine iz naslova | 134,20| | | |privatizacije | | +-------+--------+----------------------------+-----------------+ | |V. |DANA POSOJILA IN POVEČANJE | 0,00| | | |KAPITALSKIH DELEŽEV | | | | |(440+441) | | +-------+--------+----------------------------+-----------------+ | | 440|Dana posojila | 0,00| +-------+--------+----------------------------+-----------------+ | | 441|Povečanje kapitalskih | 0,00| | | |deležev in naložb | | +-------+--------+----------------------------+-----------------+ | |VI. |PREJETA MINUS DANA POSOJILA | 134,20| | | |IN SPREMEMBE KAPITALSKIH | | | | |DELEŽEV | | | | |(IV.–V.) | | +---------------------------------------------------------------+ | C. RAČUN FINANCIRANJA | +-------+--------+----------------------------+-----------------+ | |VII. |ZADOLŽEVANJE (500+501) | 0,00| +-------+--------+----------------------------+-----------------+ | 50 | |ZADOLŽEVANJE | 0,00| +-------+--------+----------------------------+-----------------+ | | 500|Domače zadolževanje | 0,00| +-------+--------+----------------------------+-----------------+ | |VIII. |ODPLAČILA DOLGA (550) | 0,00| +-------+--------+----------------------------+-----------------+ | 55 | |ODPLAČILA DOLGA | | +-------+--------+----------------------------+-----------------+ | | 550|Odplačila domačega dolga | | +-------+--------+----------------------------+-----------------+ | |IX. |SPREMEMBA STANJA SREDSTEV NA| –841.124,62| | | |RAČUNU (I.+IV.+VII.-II.-V.- | | | | |VIII.) | | +-------+--------+----------------------------+-----------------+ | |X. |NETO ZADOLŽEVANJE (VII.- | 0,00| | | |VIII.) | | +-------+--------+----------------------------+-----------------+ | |XI. |NETO FINANCIRANJE (VI.+VII.-| 841.258,82| | | |VIII.-IX.) | | +-------+--------+----------------------------+-----------------+ | | |STANJE SRED. NA RAČUNIH DNE | 3.520.328,41| | | |31. 12. PRETEKLEGA LETA | | +-------+--------+----------------------------+-----------------+