Vaše trenutno stanje
- Zahtevano
- Analitika
- Oglaševanje
Prikaži podrobnosti
SLT
– za razporeditev v posebnem delu proračuna 107,615. 094
– za tekočo proračunsko rezervo 6,355.644
– za združevanje sredstev za financiranje programov javne
porabe ljubljanskih občin in mesta Ljubljane 728,763.000
RENOMINACIJA PREGLEDA PRORAČUNSKIH PRIHODKOV IN ODHODKOV
PO NAMENIH
+---------+---------------+--------------+---------------+------------+
|Zap. št. |Prihodki | Plan| Renominacija| Indeks|
| | | | plana| |
+---------+---------------+--------------+---------------+------------+
|I. |Presežek | | | |
|II. |prihodkov | | | |
|II. |prenesen iz | | | |
|II. |prejšnjega leta| 1,358.738| 1,358.738| 100|
+---------+---------------+--------------+---------------+------------+
|II. |Prihodki od | | | |
| |davkov | | | |
+---------+---------------+--------------+---------------+------------+
| |pravnih oseb | 31,940.000| 34,486.000| 108|
+---------+---------------+--------------+---------------+------------+
|III. |Prihodki od | | | |
| |dohodnine | 292,521.000| 546,335.000| 187|
+---------+---------------+--------------+---------------+------------+
|IV. |Prihodki od | | | |
| |davkov od | | | |
| |prometa | | | |
| |proizvodov | | | |
| |in storitev | 32,830.000| 35,179.000| 107|
+---------+---------------+--------------+---------------+------------+
|V. |Prihodki od | | | |
| |taks | 4,000.000| 4,523.000| 113|
+---------+---------------+--------------+---------------+------------+
|VI. |Drugi prihodki | 9,500.000| 111,058.000| 1169|
+---------+---------------+--------------+---------------+------------+
|VII. |Občinski davki | 1,400.000| 7,337.000| 524|
+---------+---------------+--------------+---------------+------------+
|VIII. |Dopolnilna | | | |
| |sredstva | | | |
| |republike | 256,745.000| 102,457.000| 40|
+---------+---------------+--------------+---------------+------------+
|Skupaj prihodki | 630,294.738| 842,733.738| 134|
+-------------------------+--------------+---------------+------------+
+---------+---------------+--------------+---------------+------------+
|Zap. št. |Odhodki | Plan| Renominacija| Indeks|
| | | | plana| |
+---------+---------------+--------------+---------------+------------+
|A. |TEKOČI DEL | | | |
| |PRORAČUNA | | | |
+---------+---------------+--------------+---------------+------------+
|I. |Odhodki za | | | |
| |delo | | | |
| |organov | 59,253.885| 64,885.842| 110|
+---------+---------------+--------------+---------------+------------+
|II. |Transferji, | | | |
| |dotacije, | | | |
| |subvencije | 24,760.579| 33,662.186| 136|
+---------+---------------+--------------+---------------+------------+
|III. |Drugi odhodki | 544,759.614| 742,705.756| 136|
+---------+---------------+--------------+---------------+------------+
| |Skupaj tekoči | | | |
| |del | | | |
| |proračuna | 628,774.078| 841,213.784| 134|
+---------+---------------+--------------+---------------+------------+
|B. |INVESTICIJSKI | | | |
| |DEL | | | |
| |PRORAČUNA | | | |
+---------+---------------+--------------+---------------+------------+
|IV. |Investicijski | | | |
| |odhodki | 1,519.560| 1,519.560| 100|
+---------+---------------+--------------+---------------+------------+
|v. |Finančni | | | |
| |tokovi | 1.100| 394| 36|
+---------+---------------+--------------+---------------+------------+
| |Skupaj | | | |
| |investicijski | | | |
| |del | | | |
| |proračuna | 1,520.660| 1,519.954| 100|
+---------+---------------+--------------+---------------+------------+
| |Skupaj tekoči | | | |
| |in | | | |
| |investicijski | | | |
| |del proračuna | 630,294.738| 842,733.738| 134|
+---------+---------------+--------------+---------------+------------+