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       Avril 2006   71

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                                            RAPPORT FINANCIER EXERCICE 2005

 

Situation définitive, comparée à l'exercice précédent :

 

RECETTES :

                                                                                                                          

Cotisations perçues :                                                                                3630.00           3540.00

Participations volontaires :                                                                          631.00             906.40

Produits financiers (2003) (2004) :                                                             650.46             511.42

 

Total des “Ressources propres” :                                                                4911.46           4957.82

 

Contribution des participants aux frais de “Réunions” : (Repas A.G)              1472,00           1583.00

Contribution des participants aux frais de “Voyages” :  (1) (3)                    12660.00         22056.00

Contribution des participants aux frais de “Sorties-Visites” : (2) (4)                   3430,00           3592.00 

 

Total des “Recettes d’activités” :                                                        17562.00       27231.00

                                                                                                                          

TOTAL GÉNÉRAL RECETTES :                                                                22473.46         32188.82                         

 

DÉPENSES :

 

Frais de téléphone :                                                                                       53.33               85.11

Frais de déplacement    :                                                                              265.20             253.50

Frais de représentation :                                                                                29.00               30.00

Fournitures diverses :                                                                                     48.86               74.90             

Assurances (SMACL) :                                                                                     213.71             225.03                 

Abonnements (Actualité-Retraite) :                                                                    1203.75           1166.25                                                   

Cotisation (UFR) :                                                                                           720.00              710.00                                           

Dons, libéralités :                                                                                            75.91                80.49

Frais divers (Fleurs obsèques) :                                                                           383.70                   .

Frais financiers :                                                                                              .                         7.44                                                                                                                                                                                                                                              

                                                                                                                                                                     

Total des “Frais de fonctionnement” :                                                           2993.46           2632.72

 

Frais de “Réunions” : (Bureau, repas et galette A.G                                              2418.56           2687.58

Achats de prestations + frais de “Voyages” : (1) (3)                                                    12421.07         22262.70

Achats de prestations + frais de “Sorties-Visites” : (2)  (4)                                    3449.35           3422.40

                                                                                                                          

Total des “Dépenses d’activités” :                                                                 18288.98         28372.68

 

TOTAL GÉNÉRAL DÉPENSES :                                                                   21282.44         31005.40

 

SOLDE DÉFINITIF D'EXPLOITATION : (Positif)                                            1191.02           1183.42                                                                                                      

    

Hors exploitation :Achat de matériel informatique                                                                                    1895.66                          .                                                                                                                                                                                                                                                  

SOLDE DÉFINITIF DE L'EXERCICE :                                                            - 704.64           1183.42   

 

(1) Thiérache, Alsace   (3)  Lille, Prague

(2) Ste Chapelle, Versailles, Catacombes.  (4) IMA, Belleville, Père Lachaise, Bercy.                           Les Trésoriers, le 16/01/2006