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Na podlagi določil Zakona o financiranju občin (Uradni list RS, št. 80/94, 45/97, 56/98), Zakona o javnih financah (Uradni list RS, št. 79/99, 124/00 in 79/01, 30/02), Zakona o lokalni samoupravi (Uradni list RS, št. 72/93 in ostali), 121. člena Statuta Občine Zagorje ob Savi (Uradni list RS, št. 109/05) in 99. člena Poslovnika občinskega sveta Občine Zagorje ob Savi (Uradni vestnik Zasavja, št. 13/03) je Občinski svet Občine Zagorje ob Savi na 25. seji dne 17. 12. 2005 na predlog župana Občine Zagorje ob Savi sprejel

 

 

O D L O K

 

 

o spremembi Odloka o proračunu Občine Zagorje ob Savi za leto 2005

 

 

1. člen

 

 

V Odloku o proračunu Občine Zagorje ob Savi za leto 2005 (Uradni list RS, št. 36/05) se 2. člen spremeni tako, da se glasi:

 

 

»Proračun Občine Zagorje ob Savi za leto 2005 se določa v naslednjih zneskih:

 

 

+----------------------------------------------+----------------+-------------+

|SPLOŠNI DEL PRORAČUNA                         |                |     REBALANS|

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |         2005|

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|A     |BILANCA PRIHODKOV IN ODHODKOV          |                |             |

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|I     |SKUPAJ PRIHODKI                        |     70+71+72+74|2.090.785.000|

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|      |TEKOČI PRIHODKI                        |           70+71|1.394.257.000|

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|70    |DAVČNI PRIHODKI                        |                |1.252.494.000|

+------+---------------------------------------+----------------+-------------+

|700   |Davki na dohodek in dobiček            |                |  996.125.000|

+------+---------------------------------------+----------------+-------------+

|703   |Davki na premoženje                    |                |  169.921.000|

+------+---------------------------------------+----------------+-------------+

|704   |Domači davki na blago in storitve      |                |   86.448.000|

+------+---------------------------------------+----------------+-------------+

|71    |NEDAVČNI PRIHODKI                      |                |  141.763.000|

+------+---------------------------------------+----------------+-------------+

|710   |Udeležba na dobičku in dohodki od      |                |   92.803.000|

|      |premoženja                             |                |             |

+------+---------------------------------------+----------------+-------------+

|711   |Takse in pristojbine                   |                |    5.408.000|

+------+---------------------------------------+----------------+-------------+

|712   |Denarne kazni                          |                |      367.000|

+------+---------------------------------------+----------------+-------------+

|713   |Prihodki od prodaje blaga in storitev  |                |    6.000.000|

+------+---------------------------------------+----------------+-------------+

|714   |Drugi nedavčni prihodki                |                |   37.185.000|

+------+---------------------------------------+----------------+-------------+

|72    |KAPITALSKI PRIHODKI                    |                |   45.000.000|

+------+---------------------------------------+----------------+-------------+

|720   |Prihodki od prodaje osnovnih sredstev  |                |    5.000.000|

+------+---------------------------------------+----------------+-------------+

|722   |Prihodki od prodaje zemljišč in nemat. |                |   40.000.000|

|      |premoženja                             |                |             |

+------+---------------------------------------+----------------+-------------+

|74    |TRANSFERNI PRIHODKI                    |                |  651.528.000|

+------+---------------------------------------+----------------+-------------+

|740   |Transferni prihodki iz drugih          |                |  651.528.000|

|      |javnofinančnih institucij              |                |             |

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|II    |SKUPAJ ODHODKI                         |     40+41+42+43|2.114.251.000|

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|40    |TEKOČI ODHODKI                         |                |  428.799.000|

+------+---------------------------------------+----------------+-------------+

|400   |Plače in drugi izdatki zaposlenim      |                |  117.455.000|

+------+---------------------------------------+----------------+-------------+

|401   |Prispevki delodajalcev za socialno     |                |   19.318.000|

|      |varnost                                |                |             |

+------+---------------------------------------+----------------+-------------+

|402   |Izdatki za blago in storitve           |                |  282.115.000|

+------+---------------------------------------+----------------+-------------+

|403   |Plačila domačih obresti                |                |    7.150.000|

+------+---------------------------------------+----------------+-------------+

|409   |Rezerve                                |                |    2.761.000|

+------+---------------------------------------+----------------+-------------+

|41    |TEKOČI TRANSFERI                       |                |  998.107.000|

+------+---------------------------------------+----------------+-------------+

|410   |Subvencije                             |                |    8.154.000|

+------+---------------------------------------+----------------+-------------+

|411   |Transferi posameznikom in              |                |  456.712.000|

|      |gospodinjstvom                         |                |             |

+------+---------------------------------------+----------------+-------------+

|412   |Transferi neorofitnim organizacijam in |                |  136.153.000|

|      |ustanovam                              |                |             |

+------+---------------------------------------+----------------+-------------+

|413   |Drugi tekoči domači transferi          |                |  397.088.000|

+------+---------------------------------------+----------------+-------------+

|42    |INVESTICIJSKI ODHODKI                  |                |  511.463.000|

+------+---------------------------------------+----------------+-------------+

|420   |Nakup in gradnja osnovnih sredstev     |                |  511.463.000|

+------+---------------------------------------+----------------+-------------+

|43    |INVESTICIJSKI TRANSFERI                |                |  175.882.000|

+------+---------------------------------------+----------------+-------------+

|430   |Investicijski transferi                |                |  175.882.000|

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|III   |PRORAČUNSKI PRESEŽEK                   |          I – II|  –23.466.000|

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|B     |RAČUN FINANČNIH TERJATEV IN NALOŽB     |                |             |

+------+---------------------------------------+----------------+-------------+

|IV    |PREJETA VRAČILA DANIH POSOJIL IN       |                |             |

+------+---------------------------------------+----------------+-------------+

|      |PRODAJA KAPITALSKIH DELEŽEV            |     750+751+752|   32.200.000|

+------+---------------------------------------+----------------+-------------+

|75    |PREJETA VRAČILA DANIH POSOJIL          |                |             |

+------+---------------------------------------+----------------+-------------+

|750   |Prejeta vračila danih posojil          |                |   10.200.000|

+------+---------------------------------------+----------------+-------------+

|751   |Prodaja kapitalskih deležev            |                |   22.000.000|

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|V     |DANA POSOJILA IN POVEČANJE             |                |      634.000|

+------+---------------------------------------+----------------+-------------+

|      |KAPITALSKIH DELEŽEV                    |                |             |

+------+---------------------------------------+----------------+-------------+

|441   |Povečanje kapitalskih deležev          |                |      634.000|

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|VI    |PREJETA MINUS DANA POSOJILA IN         |          IV – V|   31.566.000|

+------+---------------------------------------+----------------+-------------+

|      |SPREMEMBE KAPITALSKIH DELEŽEV          |                |             |

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|C     |RAČUN FINANCIRANJA                     |                |             |

+------+---------------------------------------+----------------+-------------+

|VII   |ZADOLŽEVANJE                           |                |             |

+------+---------------------------------------+----------------+-------------+

|50    |ZADOLŽEVANJE                           |                |            0|

+------+---------------------------------------+----------------+-------------+

|500   |Domače zadolževanje                    |                |            0|

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|VIII  |ODPLAČILA DOLGA                        |                |             |

+------+---------------------------------------+----------------+-------------+

|55    |ODPLAČILA DOLGA                        |                |    8.100.000|

+------+---------------------------------------+----------------+-------------+

|550   |Odplačila domačega dolga               |                |    8.100.000|

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|X     |NETO ZADOLŽEVANJE                      |        VII-VIII|   –8.100.000|

+------+---------------------------------------+----------------+-------------+

|      |                                       |                |             |

+------+---------------------------------------+----------------+-------------+

|XI    |NETO FINANCIRANJE                      |VI+VII-VIII-IX=-|   23.466.000|

|      |                                       |             III|             |

+------+---------------------------------------+----------------+-------------+

 

 

 

Prihodki in odhodki so določeni v posebnem delu in so sestavni del Odloka o spremembi Odloka o proračunu Občine Zagorje ob Savi za leto 2005.

 

 

2. člen

 

 

Ostala določila Odloka o proračunu Občine Zagorje ob Savi za leto 2005 ostanejo v veljavi.

 

 

3. člen

 

 

Ta odlok prične veljati takoj in se objavi v Uradnem listu Republike Slovenije.

 

 

Št. 401-7/2004

 

 

Zagorje ob Savi, dne 17. decembra 2005

 

 

Župan

 

 

Občine Zagorje ob Savi

 

 

Matjaž Švagan l.r.