REPUBLIKA HRVATSKA

BJELOVARSKO-BILOGORSKA ŽUPANIJA

OPĆINA IVANSKA

Slavka Kolara 1, Ivanska

                                                                                         

 

PLAN PRORAČUNA ZA 2011. G.

                                                                          RASHODI I IZDACI

  Račun/Pozicija/Gfs                                                            Opis                                                                    PLAN

    Prog/Akt/Projekt

               1                                                                          2                                                                        3

RAZDJEL                     JEDINSTVENI UPRAVNI ODJEL                                                                               4.656.000,00

01

GLAVA                        JEDINSTVENI UPRAVNI ODJEL                                                                               1.719.000,00

01

Progra                                                                                                                                                       325.000,00

                                                                                                                                                                 325.000,00

          3                     Rashodi poslovanja                                                                                                 325.000,00

    31111  15                Plaće za zaposlene                                                                                                         325.000,00

Progra           01         REDOVNA DJELATNOST                                                                                         1.394.000,00

Program         01        REDOVNA DJELATNOST                                                                                            100.000,00

          3                     Rashodi poslovanja                                                                                                   50.000,00

    32341  11       0       Opskrba vodom                                                                                                              12.000,00

    32345  11                Usluge čišćenja, pranja i slično                                                                                             5.000,00

    32379  12       0       Ostale intelektualne usluge                                                                                               30.000,00

    32392  12                Film i izrada fotografija                                                                                                        3.000,00

          4                     Rashodi za nabavu nefinancijske imovine                                                                50.000,00

    41261  12       0       Ostala nematerijalna imovina                                                                                             50.000,00

Tekuća           0101    REDOVNA DJELATNOST JEDINSTVENOG UPRAVNOG ODJELA                                       28.000,00

          3                     Rashodi poslovanja                                                                                                   28.000,00

    32931  16                Reprezentacija                                                                                                                  3.000,00

    37229  16                Ostale naknade iz proračuna u naravi                                                                                  25.000,00

Tekuća           0102    MATERIJALNI RASHDI                                                                                             295.000,00

          3                     Rashodi poslovanja                                                                                                 295.000,00

    32321  12       0       Usluge tekućeg i investicijskog održavanja građevinskih objekata                                           200.000,00

    32341  15                Opskrba vodom                                                                                                              10.000,00

    32349  15                Ostale komunalne usluge                                                                                                  40.000,00

    32911  14                Naknade članovima predstavničkih i izvršnih tijela                                                                  45.000,00

Tekuća           0103    FINANCIJSKI RASHODI                                                                                             102.000,00

          3                     Rashodi poslovanja                                                                                                 102.000,00

    32912  15                Naknade članovima povjerenstava                                                                                    100.000,00

    38119  13                Ostale tekuće donacije                                                                                                      2.000,00

Tekuća           0106    DONACIJE                                                                                                                  44.000,00

          3                     Rashodi poslovanja                                                                                                   44.000,00

    38114  14                Tekuće donacije udrugama građana i političkim strankama                                                     30.000,00

    38119  14                Ostale tekuće donacije                                                                                                      4.000,00

    38215  12       0       Kapitalne donacije sportskim društvima                                                                               10.000,00

Kapitalni         0107    NABAVA NEPROIZVEDENE DUGOTRAJNE IMOVINE                                                    100.000,00

          4                     Rashodi za nabavu nefinancijske imovine                                                              100.000,00

    41261  14                Ostala nematerijalna imovina                                                                                            100.000,00

Kapitalni         0108    NABAVA PROIZVEDNE DUGOTRAJNE IMOVINE                                                          625.000,00

          4                     Rashodi za nabavu nefinancijske imovine                                                              625.000,00

    42129  14                Ostali poslovni građevinski objekti                                                                                       20.000,00

    42131  15                Ceste                                                                                                                          460.000,00

    42141  14                Plinovod, vodovod, kanalizacija                                                                                         130.000,00

    42211  14                Računala i računalna oprema                                                                                             15.000,00

                                                                                         

 

 

 

 

 

 

 

 

PLAN PRORAČUNA ZA 2011. G.

                                                                          RASHODI I IZDACI

  Račun/Pozicija/Gfs                                                            Opis                                                                    PLAN

    Prog/Akt/Projekt

               1                                                                          2                                                                        3

Kapitalni         0109    DODATNA ULAGANJA NA GRAĐEVINSKIM OBJEKTIMA                                             100.000,00

          4                     Rashodi za nabavu nefinancijske imovine                                                              100.000,00

    45111  14                Dodatna ulaganja na građevinskim objektima                                                                      100.000,00

GLAVA                        OPĆINSKO VIJEĆE                                                                                                  2.937.000,00

0101

Progra           01         REDOVNA DJELATNOST                                                                                         2.937.000,00

Tekuća           0101    REDOVNA DJELATNOST JEDINSTVENOG UPRAVNOG ODJELA                                       65.500,00

          3                     Rashodi poslovanja                                                                                                   65.500,00

    31213   2                Darovi                                                                                                                           10.000,00

    31321   3                Doprinosi za obvezno zdravstveno osiguranje                                                                       50.000,00

    31331   4                Doprinosi za zapošljavanje                                                                                                   5.500,00

Tekuća           0102    MATERIJALNI RASHDI                                                                                          1.871.500,00

          3                     Rashodi poslovanja                                                                                              1.871.500,00

    32131   5                Seminari, savjetovanja i simpoziji                                                                                          5.000,00

    32211   6                Uredski materijal                                                                                                              35.000,00

    32212   7                Literatura (publikacije, časopisi, glasila, knjige i ostalo)                                                             8.000,00

    32214   8                Materijal i sredstva za čišćenje i održavanje                                                                            6.000,00

    32231   9                Električna energija                                                                                                           40.000,00

    32231  10                Električna energija                                                                                                         180.000,00

    32233  11                Plin                                                                                                                               45.000,00

    32234  12                Motorni benzin i dizel gorivo                                                                                              10.000,00

    32241  13                Mat. i dijelovi za tek. i invest. održav. građevinskih objekata                                                  100.000,00

    32242  14                Mat. i dijelovi za tek. i invest. održav. postrojenja i opreme                                                      7.000,00

    32311  15                Usluge telefona, telefaksa                                                                                                25.000,00

    32312  16                Usluge interneta                                                                                                               5.000,00

    32313  17                Poštarina (pisma, tiskanice i sl.)                                                                                          20.000,00

    32320  19                Usluge tekućeg i investicijskog održavanja                                                                         400.000,00

    32320  20                Usluge tekućeg i investicijskog održavanja                                                                           35.000,00

    32320  22                Usluge tekućeg i investicijskog održavanja                                                                           80.000,00

    32320  23                Usluge tekućeg i investicijskog održavanja                                                                           10.000,00

    32320  24                Usluge tekućeg i investicijskog održavanja                                                                             3.000,00

    32332  27                Tisak                                                                                                                             15.000,00

    32334  28                Promidžbeni materijali                                                                                                       30.000,00

    32339  29                Ostale usluge promidžbe i informiranja                                                                                11.500,00

    32342  30                Iznošenje i odvoz smeća                                                                                                 400.000,00

    32343  31                Deratizacija i dezinsekcija                                                                                                  35.000,00

    32349  32                Ostale komunalne usluge                                                                                                  92.000,00

    32372  33                Ugovori o djelu                                                                                                                 5.000,00

    32373  34                Usluge odvjetnika i pravnog savjetovanja                                                                            35.000,00

    32375  35                Geodetsko-katastarske usluge                                                                                           30.000,00

    32379  36                Ostale intelektualne usluge                                                                                               15.000,00

    32379  38                Ostale intelektualne usluge                                                                                               20.000,00

    32382  39                Usluge razvoja software-a                                                                                                 10.000,00

    32391  40                Grafičke i tiskarske usluge, usluge kopiranja i uvezivanja i slično                                                 2.000,00

    32394  41                Usluge pri registraciji prijevoznih sredstava                                                                             2.000,00

    32911  43                Naknade članovima predstavničkih i izvršnih tijela                                                                  50.000,00

    32921  44                Premije osiguranja prijevoznih sredstava                                                                                5.000,00

    32931  45                Reprezentacija                                                                                                                25.000,00

    32931  46                Reprezentacija                                                                                                                10.000,00

    32931  47                Reprezentacija                                                                                                                30.000,00

    32931  48                Reprezentacija                                                                                                                12.000,00

    32941  49                Tuzemne članarine                                                                                                            3.000,00


                                                                                         

 

 

PLAN PRORAČUNA ZA 2011. G.

                                                                          RASHODI I IZDACI

  Račun/Pozicija/Gfs                                                            Opis                                                                    PLAN

    Prog/Akt/Projekt

               1                                                                          2                                                                        3

    32999  50                Ostali nespomenuti rashodi poslovanja                                                                                20.000,00

Tekuća           0103    FINANCIJSKI RASHODI                                                                                               67.000,00

          3                     Rashodi poslovanja                                                                                                   67.000,00

    34231  51                Kamate za primljene zajmove od tuzemnih banaka i ostalih financijskih institucija izvan                 48.000,00

    34311  53                Usluge banaka                                                                                                                12.000,00

    34333  54                Zatezne kamate iz poslovnih odnosa i drugo                                                                          2.000,00

    34349  56                Ostali nespomenuti financijski rashodi                                                                                   5.000,00

Tekuća           0104    SUBVENCIJE                                                                                                               30.000,00

          3                     Rashodi poslovanja                                                                                                   30.000,00

    35231  58                Subvencije poljoprivrednicima                                                                                            30.000,00

Tekuća           0105    NAKNADE GRAĐANIMA I KUĆANSTVIMA                                                                 166.000,00

          3                     Rashodi poslovanja                                                                                                 166.000,00

    37212  59                Pomoć obiteljima i kućanstvima                                                                                          80.000,00

    37212  60                Pomoć obiteljima i kućanstvima                                                                                           6.000,00

    37219  11    011002   Ostale naknade iz proračuna u novcu                                                                                 25.000,00

    37224  62                Prehrana                                                                                                                        40.000,00

    37229  63                Ostale naknade iz proračuna u naravi                                                                                  15.000,00

Tekuća           0106    DONACIJE                                                                                                                517.000,00

          3                     Rashodi poslovanja                                                                                                 517.000,00

    38112  64                Tekuće donacije vjerskim zajednicama                                                                                30.000,00

    38114  65                Tekuće donacije udrugama građana i političkim strankama                                                    160.000,00

    38115  67                Tekuće donacije sportskim društvima                                                                                140.000,00

    38117  68                Tekuće donacije građanima i kućanstvima                                                                             4.000,00

    38117  69                Tekuće donacije građanima i kućanstvima                                                                             3.000,00

    38119  70                Ostale tekuće donacije                                                                                                    15.000,00

    38119  71                Ostale tekuće donacije                                                                                                    30.000,00

    38119  72                Ostale tekuće donacije                                                                                                    15.000,00

    38119  73                Ostale tekuće donacije                                                                                                      5.000,00

    38119  74                Ostale tekuće donacije                                                                                                      5.000,00

    38511  75                Nepredviđeni rashodi do visine proračunske pričuve                                                              40.000,00

    38622  76                Kapitalne pomoći trgovačkim društvima izvan javnog sektora                                                  70.000,00

Tekuća           0110    FINANCIJSKA IMOVINA I OTPLATA ZAJMOVA                                                          220.000,00

          5                     Izdaci za financijsku imovinu i otplate zajmova                                                     220.000,00

    54212  90                Otplata glavnice primljenih zajmova od tuzemnih banaka i ostalih financijskih institucija              220.000,00

RAZDJEL                     PREDŠKOLSTVO                                                                                                       424.000,00

02

GLAVA                        PREDŠKOLSTVO                                                                                                       300.000,00

02

Progra           02         PREDŠKOLSKI ODGOJ                                                                                               300.000,00

Program         02        PREDŠKOLSKI ODGOJ                                                                                               300.000,00

          3                     Rashodi poslovanja                                                                                                 300.000,00

    31111  15                Plaće za zaposlene                                                                                                         300.000,00

GLAVA                        PRORAČUNSKI KORISNIK DJEČJI VRTIĆ IVANČICA                                                   124.000,00

0201

Progra           02         PREDŠKOLSKI ODGOJ                                                                                               124.000,00

Tekuća           0201    PLAĆE                                                                                                                        72.000,00

          3                     Rashodi poslovanja                                                                                                   72.000,00

    31213  93                Darovi                                                                                                                           10.500,00

    31321  94                Doprinosi za obvezno zdravstveno osiguranje                                                                       55.000,00

    31331  95                Doprinosi za zapošljavanje                                                                                                   6.500,00

Tekuća           0202    MATERIJALNI RASHODI                                                                                             52.000,00


                                                                                         

 

PLAN PRORAČUNA ZA 2011. G.

                                                                          RASHODI I IZDACI

  Račun/Pozicija/Gfs                                                            Opis                                                                    PLAN

    Prog/Akt/Projekt

               1                                                                          2                                                                        3

          3                     Rashodi poslovanja                                                                                                   52.000,00

    32211  96                Uredski materijal                                                                                                               3.000,00

    32219  97                Ostali materijal za potrebe redovnog poslovanja                                                                   11.000,00

    32224  98                Namirnice                                                                                                                       25.000,00

    32231  99                Električna energija                                                                                                             5.000,00

    32233  10                Plin                                                                                                                                 8.000,00

              UKUPNO                                                                                                                               5.080.000,00