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Na podlagi 29. člena Zakona o lokalni samoupravi (Ur. list RS, št. 100/05 ZLS-UPB 1 in 21/06 - odl. US) in 16., 98. in 101. člena Statuta občine Trnovska vas (Uradni vestnik občine Trnovska vas, št. 5/07) je Občinski svet občine Trnovska vas na 27. redni seji, dne 15. 12. 2009  sprejel

 

ODLOK O SPREMEMBAH

ODLOKA O PRORAČUNU OBČINE TRNOVSKA VAS ZA LETO 2009

 

1. člen

 

V odloku o proračunu občine Trnovska vas  (Uradni vestnik občine Trnovska vas, št. 2/09) se drugi odstavek 2. člena spremeni tako, da glasi:

 

A.     BILANCA PRIHODKOV IN ODHODKOV

 

                                                                                                                                                          EUR

       Skupina/Podskupina kontov                                                                                                              proračun leta 2009

 

I. SKUPAJ PRIHODKI (70+71+72+73+74+78)                                                                                      1.357.484,01

      TEKOČI PRIHODKI (70+71)                                                                                                                 908.121,44

70 DAVČNI PRIHODKI                                                                                                                             838.478,51

            700  Davki na dohodek in dobiček                                                                                                      753.480,00

      703  Davki na premoženje                                                                                                                           52.543,51

704                         Domači davki na blago in storitve                                                                                        32.455,00

706   Drugi davki                                                                                                                                                             0

71 NEDAVČNI PRIHODKI                                                                                                                          69.642,93

              710 Udeležba na dobičku in dohodki od premoženja                                                                            22.583,51         

               711 Takse in pristojbine                                                                                                                           823,58

               712 Denarne kazni                                                                                                                                            0  

               713 Prihodki od prodaje blaga in storitev                                                                                                          0

               714 Drugi nedavčni prihodki                                                                                                               46.235,84

72 KAPITALSKI PRIHODKI                                                                                                                            631,56

 

                720 Prihodki od prodaje osnovnih sredstev                                                                                             631,56

                721 Prihodki od prodaje zalog                                                                                                                         0

                722 Prihodki od prodaje zemljišč in neopredmetenih dolgoročnih sredstev                                                        0

73 PREJETE DONACIJE                                                                                                                                          0

                  730 Prejete donacije iz domačih virov                                                                                                            0   

                  731 Prejete donacije iz tujine                                                                                                                         0

74 TRANSFERNI PRIHODKI                                                                                                                   448.731,01

                   740 Transferni prihodki iz drugih javnofinančnih inštitucij                                                                448.731,01

78 PREJETA SREDSTVA IZ EVROPSKE UNIJE                                                                                                 0         

 780 Predpristopna sredstva EU                                                                                                                                      0

 

  II. SKUPAJ ODHODKI  (40+41+42+43+45)                                                                                        1.518.082,67

40 TEKOČI ODHODKI                                                                                                                              404.563,46

            400 Plače in drugi izdatki zaposlenim                                                                                                   113.154,22

             401 Prispevki delodajalca za socialno varnost                                                                                       18.722,50

             402 Izdatki za blago in storitve                                                                                                            233.474,75

             403 Plačila domačih obresti                                                                                                                    3.340,00

             409 Rezerve                                                                                                                                         35.821,99

 

41 TEKOČI TRANSFERI                                                                                                                           393.398,87

              410 Subvencije                                                                                                                                                  0

              411 Transferi posameznikom in gospodinjstvom                                                                                 278.499,57

              412 Transferi neprofitnim organizacijam in ustanovam                                                                           22.292,46

413                                   Drugi tekoči domači transferi                                                                                     92.606,84

414                                   Tekoči transferi v tujino                                                                                                           0

42    INVESTICIJSKI ODHODKI                                                                                                              703.320,34

                     420 Nakup in gradnja osnovnih sredstev                                                                                     703.320,34

43    INVESTICIJSKI TRANSFERI                                                                                                            16.800,00

             431 Investicijski transferi pravnim in fizičnim osebam,                                                                             13.500,00

                      ki niso proračunski uporabniki

              432 Investicijski transferi proračunskim uporabnikom                                                                             3.300,00

 

 III. PRORAČUNSKI PRIMANJKLJAJ   (I.-II.)                                                                                    -160.598,66

 

 

 

B. RAČUN FINANČNIH TERJATEV IN NALOŽB

 

 

                                                                                                                                                              EUR

Skupina/ Podskupina kontov                                                                                                                    proračun leta 2009

 

      IV. PREJETA VRAČILA DANIH POSOJIL 

            IN PRODAJA KAPITALSKIH DELEŽEV (750+751+752)                                                                          0

 

 75 PREJETA VRAČILA DANIH POSOJIL                                                                                                            0

      750  Prejeta vračila danih posojil                                                                                                                                0

751               Prodaja kapitalskih deležev                                                                                                                         0

      752   Kupnine iz naslova privatizacije                                                                                                                         0

 

V. DANA POSOJILA IN POVEČANJE                                    

     KAPITALSKIH DELEŽEV (440+441+442+443)                                                                                                  0

 

 44 DANA POSOJILA IN POVEČANJE KAPITALSKIH DELEŽEV                                                                  0

  440  Dana posojila                                                                                                                                                        0

  441  Povečanje kapitalskih deležev in finančnih naložb                                                                                                    0

  442  Poraba sredstev kupnin iz naslova privatizacije                                                                                                       0

  443  Povečanje namenskega premoženja v javnih skladih in drugih pravnih osebah

          javnega prava, ki imajo premoženje v svoji lasti                                                                                                      0 

VI. PREJETA MINUS DANA POSOJILA 
      IN SPREMEMBE KAPITALSKIH DELEŽEV (IV.-V.)                                                                                     0

 

 

C. RAČUN FINANCIRANJA

 

                                                                                                                                                                      EUR

Skupina/Podskupina kontov                                                                                                                     Proračun leta 2009

 

      VII. ZADOLŽEVANJE (500+501)                                                                                                                        0

 

50 ZADOLŽEVANJE                                                                                                                                                  0

     500 Domače zadolževanje                                                                                                                                          0

          

VIII. ODPLAČILA DOLGA  (550+551)                                                                                                       33.800,71  

  

55 ODPLAČILA DOLGA                                                                                                                              33.800,71 

550 Odplačila domačega dolga                                                                                                                          33.800,71  

 

      IX. SPREMEMBA STANJA SREDSTEV NA RAČUNIH   

       (I.+IV.+VII.-II.-V.-VIII)                                                                                                                        -194.399,37

 

X. NETO ZADOLŽEVANJE                                                                                                                        -33.800,71           

     (VII.-VIII.)                                                                                                                 

 

XI. NETO FINANCIRANJE                                                                                                                       160.598,66

       (VI.+X.-IX.)

 

STANJE SREDSTEV NA RAČUNIH DNE 31. 12. 2008

    9009 Splošni sklad za drugo                                                                                                                        194.399,37  

 

Posebni del proračuna sestavlja finančni načrt neposrednega uporabnika, ki je razdeljen na naslednje programske dele: področja proračunske porabe, glavne programe in podprograme, predpisane s programsko klasifikacijo izdatkov občinskih proračunov. Podprogram je razdeljen na proračunske postavke, te pa na podkonte, določene s predpisanim kontnim načrtom.

 

Posebni del proračuna do ravni proračunskih postavk podkontov in načrt razvojnih programov sta prilogi k temu odloku in se objavita na spletni strani občine Trnovska vas.

 

Načrt razvojnih programov sestavljajo projekti.

 

2. člen

 

Spremeni se 8. člen tako, da glasi :

Proračunski skladi so:

-        račun proračunske rezerve, oblikovan po ZJF.

Proračunska rezerva se v letu 2009 oblikuje v višini 90.990,35 evrov, in sicer delno kot prenos iz leta 2008, in sicer v višini 57.515,77 evra, delno pa z izločitvijo dodatnih sredstev v rezervo v višini 33.474,58 evrov.

Na predlog občinske uprave odloča o uporabi sredstev proračunske rezerve za namene iz drugega odstavka 49. člena ZJF do višine 400 evrov župan in o tem s pisnimi poročili obvešča občinski svet.

 

3.  člen

 

Ta odlok začne veljati naslednji dan po objavi v Uradnem vestniku občine Trnovska vas.

 

Številka: 410 0/2009-1o

Trnovska vas, dne 15. 12. 2009

                                                                                                                Alojz BENKO,

                                                                                                       župan Občine Trnovska vas