REPUBLIKA HRVATSKA

BJELOVARSKO-BILOGORSKA ŽUPANIJA

OPĆINA IVANSKA

Slavka Kolara 1, Ivanska

                                                       PLAN PRORAČUNA ZA 2011. G.

                                                                               POSEBNI DIO

Račun/                                                                    Opis

     

       1                                                                         2                                                                                   3

          3  Rashodi poslovanja                                                                                                                  3.985.000,00

        31  Rashodi za zaposlene                                                                                                                    762.500,00

       311  Plaće                                                                                                                                               625.000,00

    31111  Plaće za zaposlene                                                                                                                             625.000,00

              154  U OPĆINI                                                                                                                                      325.000,00

              156  PLAĆE U DJEČJEM VRTIĆU                                                                                                                  300.000,00

       312  Ostali rashodi za zaposlene                                                                                                                    20.500,00

    31213  Darovi                                                                                                                                                20.500,00

       313  Doprinosi na plaće                                                                                                                              117.000,00

    31321  Doprinosi za obvezno zdravstveno osiguranje                                                                                          105.000,00

    31331  Doprinosi za zapošljavanje                                                                                                                     12.000,00

        32  Materijalni rashodi                                                                                                                     2.371.500,00

       321  Naknade troškova zaposlenima                                                                                                                5.000,00

    32131  Seminari, savjetovanja i simpoziji                                                                                                              5.000,00

       322  Rashodi za materijal i energiju                                                                                                              483.000,00

    32211  Uredski materijal                                                                                                                                  38.000,00

    32212  Literatura (publikacije, časopisi, glasila, knjige i ostalo)                                                                                 8.000,00

    32214  Materijal i sredstva za čišćenje i održavanje                                                                                                6.000,00

    32219  Ostali materijal za potrebe redovnog poslovanja                                                                                        11.000,00

               97   DIDAKTIKA                                                                                                                                      11.000,00

    32224  Namirnice                                                                                                                                           25.000,00

               98   PREHRANA DJECE                                                                                                                             25.000,00

    32231  Električna energija                                                                                                                             225.000,00

               9   POSLOVNI OBJEKTI, RASVJETA                                                                                                              40.000,00

               10   JAVNA RASVJETA                                                                                                                             180.000,00

    32233  Plin                                                                                                                                                   53.000,00

    32234  Motorni benzin i dizel gorivo                                                                                                                  10.000,00

    32241  Mat. i dijelovi za tek. i invest. održav. građevinskih objekata                                                                      100.000,00

    32242  Mat. i dijelovi za tek. i invest. održav. postrojenja i opreme                                                                          7.000,00

       323  Rashodi za usluge                                                                                                                            1.580.500,00

    32311  Usluge telefona, telefaksa                                                                                                                     25.000,00

    32312  Usluge interneta                                                                                                                                   5.000,00

    32313  Poštarina (pisma, tiskanice i sl.)                                                                                                              20.000,00

    32320  Usluge tekućeg i investicijskog održavanja                                                                                              528.000,00

               19   CESTE                                                                                                                                          400.000,00

               20   ZIMSKA SLUŽBA                                                                                                                                35.000,00

               22   JAVNA RASVJETA                                                                                                                              80.000,00

               23   POSTROJENJE I OPREMA                                                                                                                     10.000,00

               24   PRIJEVOZNA SRESTVA                                                                                                                          3.000,00

    32321  Usluge tekućeg i investicijskog održavanja građevinskih objekata                                                               200.000,00

              129  MJESNI DOMOVI I OST.OBJEKT U VL. OPĆINE                                                                                           200.000,00

    32332  Tisak                                                                                                                                                 15.000,00

               27   OGLASI, NATJEČAJI                                                                                                                           15.000,00

    32334  Promidžbeni materijali                                                                                                                           30.000,00

    32339  Ostale usluge promidžbe i informiranja                                                                                                     11.500,00

    32341  Opskrba vodom                                                                                                                                   22.000,00

              118  OPSKRBA VODOM                                                                                                                              12.000,00

              152  PRIKLJUČCI NA DOMOVE I POTROŠNJA                                                                                                    10.000,00

                                                                                         

 

 

 

 

 

 

 

 

 

PLAN PRORAČUNA ZA 2011. G.

                                                                               POSEBNI DIO

Račun/                                                                    Opis

     

       1                                                                         2                                                                                   3

    32342  Iznošenje i odvoz smeća                                                                                                                     400.000,00

               30   SANACIJA DIVLJIH DEPONIJA                                                                                                              400.000,00

    32343  Deratizacija i dezinsekcija                                                                                                                       35.000,00

    32345  Usluge čišćenja, pranja i slično                                                                                                                 5.000,00

              119  USLUGE ČIŠĆENJA I PRANJA                                                                                                                  5.000,00

    32349  Ostale komunalne usluge                                                                                                                    132.000,00

               32   KOŠNJA TRAVE I SL.                                                                                                                           92.000,00

              151  ODRŽAVANJE GROBLJA, KRČENJE , OGRAĐIVANJE                                                                                      40.000,00

    32372  Ugovori o djelu                                                                                                                                     5.000,00

    32373  Usluge odvjetnika i pravnog savjetovanja                                                                                                 35.000,00

    32375  Geodetsko-katastarske usluge                                                                                                               30.000,00

    32379  Ostale intelektualne usluge                                                                                                                   65.000,00

               36   NADZORI GRAĐENJA                                                                                                                          15.000,00

               38   PLAN STRATEGIJE RAZVOJA OPĆINE                                                                                                       20.000,00

              127  DOKUMENTACIJA POSLOVNE ZONE                                                                                                         30.000,00

    32382  Usluge razvoja software-a                                                                                                                     10.000,00

    32391  Grafičke i tiskarske usluge, usluge kopiranja i uvezivanja i slično                                                                     2.000,00

    32392  Film i izrada fotografija                                                                                                                            3.000,00

              121  USLUGE IZRADE FILMA , CD I FOTORAFIJA                                                                                                 3.000,00

    32394  Usluge pri registraciji prijevoznih sredstava                                                                                                 2.000,00

       329  Ostali nespomenuti rashodi poslovanja                                                                                                   303.000,00

    32911  Naknade članovima predstavničkih i izvršnih tijela                                                                                       95.000,00

               43   OPĆINSKO VIJEĆE                                                                                                                             50.000,00

              144  NAKNADA DONAČELNIK VOLONTER                                                                                                         45.000,00

    32912  Naknade članovima povjerenstava                                                                                                        100.000,00

              157  NAKNADE RADNIM POVJERENSTVIMA                                                                                                     100.000,00

    32921  Premije osiguranja prijevoznih sredstava                                                                                                    5.000,00

    32931  Reprezentacija                                                                                                                                    80.000,00

               45   OPĆINA IVANSKA                                                                                                                              25.000,00

               46   KNJIŽEVNA VEČER ĐURO SUDETA                                                                                                          10.000,00

               47   DAN OPĆINE                                                                                                                                    30.000,00

               48   OSTALE MANIFESTACIJE                                                                                                                     12.000,00

              163  OST.MANIF.OBILJEŽAV.JEZIČNICE U SAMARICI                                                                                           3.000,00

    32941  Tuzemne članarine                                                                                                                                3.000,00

               49   SAVEZ GRADOVA I OPĆINA                                                                                                                    3.000,00

    32999  Ostali nespomenuti rashodi poslovanja                                                                                                    20.000,00

               50   CVIJEĆE, VIJENAC, NAKIT I SL.                                                                                                             20.000,00

        34  Financijski rashodi                                                                                                                           67.000,00

       342  Kamate za primljene zajmove                                                                                                                 48.000,00

    34231  Kamate za primljene zajmove od tuzemnih banaka i ostalih financijskih institucija izvan javnog sektora                48.000,00

               51   DUGOROČNI KREDIT                                                                                                                          48.000,00

       343  Ostali financijski rashodi                                                                                                                         19.000,00

    34311  Usluge banaka                                                                                                                                    12.000,00

    34333  Zatezne kamate iz poslovnih odnosa i drugo                                                                                              2.000,00

    34349  Ostali nespomenuti financijski rashodi                                                                                                        5.000,00

               56   NAPLATA PRIHODA MINISTARSTVU FINANCIJA                                                                                            5.000,00

        35  Subvencije                                                                                                                                      30.000,00

       352  Subvencije trgovačkim društvima, obrtnicima, malim i srednjim poduzetnicima izvan javnog sektora                   30.000,00

    35231  Subvencije poljoprivrednicima                                                                                                                30.000,00

               58   OSIGURANJE USJEVA                                                                                                                         30.000,00

        37  Naknade građanima i kućanstvima na temelju osiguranja i druge naknade                                    191.000,00

       372  Ostale naknade građanima i kućanstvima iz proračuna                                                                              191.000,00

    37212  Pomoć obiteljima i kućanstvima                                                                                                              86.000,00

               59   OGRIJEV                                                                                                                                         80.000,00


                                                                                         

PLAN PRORAČUNA ZA 2011. G.

                                                                               POSEBNI DIO

Račun/                                                                    Opis

     

       1                                                                         2                                                                                   3

               60   POMOĆ PRI UKOPU KORINIKA SOCIJALNE SKRBI                                                                                          6.000,00

    37219  Ostale naknade iz proračuna u novcu                                                                                                      25.000,00

              116  PROMICANJE NATALITETA, POMOC PRI ROĐENJU DJETETA                                                                           25.000,00

    37224  Prehrana                                                                                                                                            40.000,00

               62   UČENIKA                                                                                                                                        40.000,00

    37229  Ostale naknade iz proračuna u naravi                                                                                                      40.000,00

               63   DJED BOŽIĆNJAK                                                                                                                              15.000,00

              164  JEDNOKRATNA POMOĆ REDOVITIM STUDENTIMA                                                                                        25.000,00

        38  Ostali rashodi                                                                                                                               563.000,00

       381  Tekuće donacije                                                                                                                                443.000,00

    38112  Tekuće donacije vjerskim zajednicama                                                                                                    30.000,00

    38114  Tekuće donacije udrugama građana i političkim strankama                                                                        190.000,00

               65   VATROGASNA ZAJEDNICA OPĆINE                                                                                                        160.000,00

              143  POLITIČKE STRANKE TROŠAK LOKALNIH IZBORA                                                                                        30.000,00

    38115  Tekuće donacije sportskim društvima                                                                                                    140.000,00

    38117  Tekuće donacije građanima i kućanstvima                                                                                                 7.000,00

               68   VOJNI INVALIDI DOMOVINSKOG RATA                                                                                                       4.000,00

               69   UDRUGA INVALIDA BBŽ                                                                                                                         3.000,00

    38119  Ostale tekuće donacije                                                                                                                         76.000,00

               70   CRVENI KRIŽ                                                                                                                                    15.000,00

               71   KUD - OVI                                                                                                                                       30.000,00

               72   ZA ŠKOLSKE AKTIVNOSTI                                                                                                                     15.000,00

               73   NEZAVISNA UDRUGA MLADIH IVANSKA                                                                                                      5.000,00

               74   UDRUGA UMIROVLJENIKA                                                                                                                      5.000,00

              138  CIVILNA ZAŠTITA                                                                                                                                2.000,00

              145  DONACIJE UDRUGAMA INVALIDA                                                                                                             4.000,00

       382  Kapitalne donacije                                                                                                                               10.000,00

    38215  Kapitalne donacije sportskim društvima                                                                                                    10.000,00

              124  KAPITALNA DONACIJA NK MOSLAVINA                                                                                                     10.000,00

       385  Izvanredni rashodi                                                                                                                                40.000,00

    38511  Nepredviđeni rashodi do visine proračunske pričuve                                                                                   40.000,00

       386  Kapitalne pomoći                                                                                                                                 70.000,00

    38622  Kapitalne pomoći trgovačkim društvima izvan javnog sektora                                                                       70.000,00

               76   KOMI D.O.O. - ZA NABAVKU DUGOTRAJNE FINANCIJSKE IMOVINE                                                                   70.000,00

          4  Rashodi za nabavu nefinancijske imovine                                                                                  875.000,00

        41  Rashodi za nabavu neproizvedene imovine                                                                                   150.000,00

       412  Nematerijalna imovina                                                                                                                         150.000,00

    41261  Ostala nematerijalna imovina                                                                                                                150.000,00

              126  PROJEKTNA DOKUMENTACIJA KANALIZACIJE                                                                                            50.000,00

              149  IZRADA PROJEKTNE GRAĐ.DOKUMENTACIJE                                                                                           100.000,00

        42  Rashodi za nabavu proizvedene dugotrajne imovine                                                                     625.000,00

       421  Građevinski objekti                                                                                                                             610.000,00

    42129  Ostali poslovni građevinski objekti                                                                                                           20.000,00

              147  MRTVAČNICE                                                                                                                                   20.000,00

    42131  Ceste                                                                                                                                              460.000,00

              150  ASFALTIRANJE                                                                                                                                460.000,00

    42141  Plinovod, vodovod, kanalizacija                                                                                                             130.000,00

              148  IZGRADNJA VODOVODA                                                                                                                     130.000,00

       422  Postrojenja i oprema                                                                                                                            15.000,00

    42211  Računala i računalna oprema                                                                                                                  15.000,00

              140  FOTOKOPIRNI, ŠTAMPAČ                                                                                                                    15.000,00

        45  Rashodi za dodatna ulaganja na nefinancijskoj imovini                                                                 100.000,00

       451  Dodatna ulaganja na građevinskim objektima                                                                                          100.000,00

    45111  Dodatna ulaganja na građevinskim objektima                                                                                          100.000,00


                                                                                         

PLAN PRORAČUNA ZA 2011. G.

                                                                               POSEBNI DIO

Račun/                                                                    Opis

     

       1                                                                         2                                                                                   3

              146  DJEČJI VRTIĆ IVANČICA IVANSKA                                                                                                         100.000,00

          5  Izdaci za financijsku imovinu i otplate zajmova                                                                          220.000,00

        54  Izdaci za otplatu glavnice primljenih zajmova                                                                                220.000,00

       542  Otplata glavnice primljenih zajmova od banaka i ostalih financijskih institucija u javnom sektoru                       220.000,00

    54212  Otplata glavnice primljenih zajmova od tuzemnih banaka i ostalih financijskih institucija u javnom                     220.000,00

               90   PBZ                                                                                                                                             220.000,00

              UKUPNO                                                                                                                                5.080.000,00