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|A. |BILANCA PRIHODKOV IN ODHODKOV | |
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| |Skupina/Podskupina kontov | Proračun 2009|
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|I. |SKUPAJ PRIHODKI (70+71+72+73+74) | 7.893.725,98|
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| |TEKOČI PRIHODKI (70+71) | 5.074.699,00|
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|70 |DAVČNI PRIHODKI. | 4.491.520,00|
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| |700 Davki na dohodek in dobiček | 3.621.520,00|
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| |703 Davki na premoženje | 414.120,00|
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| |704 Domači davki na blago in storitve | 455.880,00|
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|71 |NEDAVČNI PRIHODKI | 583.179,00|
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| |710 Udeležba na dobičku in dohodki od | 61.171,00|
| |premoženja | |
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| |711 Takse in pristojbine | 4.000,00|
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| |712 Denarne kazni | 700,00|
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| |713 Prihodki od prodaje blaga in | 12.700,00|
| |storitev | |
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| |714 Drugi nedavčni prihodki | 504.608,00|
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|72 |KAPITALSKI PRIHODKI | 352.323,26|
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| |720 Prihodki od prodaje zgradb in | 9.588,00|
| |prostorov | |
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| |722 Prihodki od prodaje zemljišč in | 342.735,26|
| |neopredm. dolgoročnih sredstev | |
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|73 |PREJETE DONACIJE | |
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| |730 Prejete donacije iz domačih virov | |
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|74 |TRANSFERNI PRIHODKI | 2.466.703,72|
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| |740 Transferni prihodki iz drugih | 2.466.703,72|
| |javnofinančnih institucij | |
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|II. |SKUPAJ ODHODKI (40+41+42+43) | 8.506.726,64|
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|40 |TEKOČI ODHODKI | 2.249.748,64|
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| |400 Plače in drugi izdatki zaposlenim | 308.639,00|
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| |401 Prispevki delodajalcev za socialno | 47.850,00|
| |varnost | |
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| |402 Izdatki za blago in storitve | 1.800.057,64|
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| |403 Plačila domačih obresti | 27.000,00|
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| |409 Rezerve | 66.202,00|
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|41 |TEKOČI TRANSFERI | 2.019.617,00|
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| |410 Subvencije | 21.700,00|
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| |411 Transferi posameznikom in | 896.055,00|
| |gospodinjstvom | |
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| |412 Transferi neprofitnim organizacijam | 233.777,00|
| |in ustanovam | |
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| |413 Drugi tekoči domači transferi | 868.085,00|
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|42 |INVESTICIJSKI ODHODKI | 4.045.264,00|
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| |420 Nakup in gradnja osnovnih sredstev | 4.045.264,00|
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|43 |INVESTICIJSKI TRANSFERI | 192.097,00|
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| |431 Investicijski transferi prav. in | 95.697,00|
| |fiz. osebam, ki niso PU | |
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| |432 Investicijski transferi proračunskim| 96.400,00|
| |uporabnikom | |
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|III. |PRORAČUNSKI PRESEŽEK (I.-II.) | –613.000,66|
| |(PRORAČUNSKI PRIMANJKLJAJ) | |
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|B. |RAČUN FINANČNIH TERJATEV IN NALOŽB | |
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|IV. |PREJETA VRAČILA DANIH POSOJIL IN PRODAJA| 5.000,00|
| |KAPITALSKIH DELEŽEV (750+751+752) | |
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|75 |PREJETA VRAČILA DANIH POSOJIL | 5.000,00|
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| |750 Prejeta vračila danih posojil | 5.000,00|
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|V. |DANA POSOJILA IN POVEČANJE KAPITALSKIH | |
| |DELEŽEV (440+441+442+443) | |
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|44 |DANA POSOJILA IN POVEČANJE KAPITALSKIH | |
| |DELEŽEV | |
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| |440 Dana posojila | |
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| |440 Povečanje kapitalskih deležev | |
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|VI. |PREJETA MINUS DANA POSOJILA IN SPREMEMBE| 5.000,00|
| |KAPITALSKIH | |
| |DELEŽEV (IV.-V.) | |
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|C. |RAČUN FINANCIRANJA | |
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|VII. |ZADOLŽEVANJE (500) | 631.000,00|
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|50 |ZADOLŽEVANJE | |
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| |500 Domače zadolževanje | 631.000,00|
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|VIII. |ODPLAČILA DOLGA (550) | 103.000,00|
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|55 |ODPLAČILA DOLGA | 103.000,00|
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| |550 Odplačila domačega dolga | 103.000,00|
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|IX. |POVEČANJE (ZMANJŠANJE) SREDSTEV NA | –80.000,66|
| |RAČUNIH (I.+IV.+VII.-II.-V.-VIII.) | |
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|X. |NETO ZADOLŽEVANJE (VII.-VIII.) | 528.000,00|
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|XI. |NETO FINANCIRANJE (VI.+VII.-VIII.-IX.) | 613.000,66|
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| |STANJE SREDSTEV NA RAČUNIH DNE 31. 12. | |
| |PRETEKLEGA LETA | |
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| |9009 Splošni sklad za drugo | 80.000,66|
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