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Dokument 32007B0143

    Final adoption of the general budget of the European Union for the financial year 2007

    OJ L 77, 16.3.2007, s. 1—1565 (BG, ES, CS, DA, DE, ET, EL, EN, FR, IT, LV, LT, HU, NL, PL, PT, RO, SK, SL, FI, SV)

    Právní stav dokumentu Již není platné, Datum konce platnosti: 31/12/2007

    16.3.2007   

    EN

    Official Journal of the European Union

    L 77/1


    FINAL ADOPTION

    of the general budget of the European Union for the financial year 2007

    (2007/143/EC, Euratom)

    THE PRESIDENT OF THE EUROPEAN PARLIAMENT,

    Having regard to the Treaty establishing the European Community, and in particular Article 272 thereof,

    Having regard to the Treaty establishing the European Atomic Energy Community, and in particular Article 177 thereof,

    Having regard to Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the European Communities' own resources (1),

    Having regard to Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (2),

    Having regard to the Interinstitutional Agreement of 17 May 2006 between the European Parliament, the Council and the Commission on budgetary discipline and sound financial management (3)

    Having regard to the Interinstitutional Agreement of 6 May 1999 between the European Parliament, the Council and the Commission on budgetary discipline and improvement of the budgetary procedure (4),

    Having regard to the draft general budget of the European Union for the financial year 2007, which the Council established on 14 July 2006,

    Having regard to the resolution adopted by the European Parliament on 26 October 2006 on the draft general budget of the European Union for the financial year 2007, Section III — Commission, and Letter of amendment No 1/2007 to the draft general budget of the European Union for the financial year 2007,

    Having regard to the resolution adopted by the European Parliament on 26 October 2006 on the draft general budget of the European Union for the financial year 2007, Section I — European Parliament, Section II — Council, Section IV — Court of Justice, Section V — Court of Auditors, Section VI — Economic and Social Committee, Section VII — Committee of the Regions, Section VIII(A) — European Ombudsman, Section VIII(B) — European Data Protection Supervisor,

    Having regard to Letter of amendment No 2/2007 to the draft general budget of the European Union for the financial year 2007,

    Having regard to Letter of amendment No 3/2007 to the draft general budget of the European Union for the financial year 2007,

    Having regard to the amendments and proposed modifications to the draft general budget adopted by the European Parliament on 26 October 2006,

    Having regard to the Council's modifications to the amendments and proposed modifications adopted by the European Parliament to the draft general budget,

    Having regard to the results of the conciliation of 21 November 2006 and the subsequent meeting of 28 November 2006,

    Having regard to Rule 69 of and Annex IV to the European Parliament's Rules of Procedure,

    Having regard to the resolution adopted by the European Parliament on 14 December 2006,

    DECLARES:

    The procedure laid down in Article 272 of the Treaty establishing the European Community and Article 177 of the Treaty establishing the European Atomic Energy Community has been completed and the general budget of the European Union for the financial year 2007 has been finally adopted.

    Done at Strasbourg, 14 December 2006.

    The President

    J. BORRELL FONTELLES


    (1)   OJ L 253, 7.10.2000, p. 42.

    (2)   OJ L 248, 16.9.2002, p. 1. Regulation as amended by Council Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    (3)   OJ C 139, 14.6.2006, p. 1.

    (4)   OJ C 172, 18.6.1999, p. 1. Agreement as last amended by Decision 2005/708/EC of the European Parliament and of the Council (OJ L 269, 14.10.2005, p. 24).


    CONTENTS

    GENERAL STATEMENT OF REVENUE

    A. Introduction and financing of the general budget I/9
    B. General statement of revenue by budget heading I/19
    C. Staff I/121
    D. Buildings I/171

    STATEMENT OF REVENUE AND EXPENDITURE BY SECTION

    Section I: Parliament

    — Revenue I/178
    — Expenditure I/191

    Section II: Council

    — Revenue I/238
    — Expenditure I/253

    Section III: Commission (volume II)

    — Revenue II/13
    — Expenditure II/67

    Section IV: Court of Justice

    — Revenue I/300
    — Expenditure I/310

    Section V: Court of Auditors

    — Revenue I/344
    — Expenditure I/355

    Section VI: European Economic and Social Committee

    — Revenue I/388
    — Expenditure I/399

    Section VII: Committee of the Regions

    — Revenue I/432
    — Expenditure I/443

    Section VIII: European Ombudsman

    — Revenue I/474
    — Expenditure I/481

    Section IX: European Data-protection Supervisor

    — Revenue I/508
    — Expenditure I/513

    CONTENTS — VOLUME I

    GENERAL STATEMENT OF REVENUE

    A. Introduction and financing of the general budget I/9
    B. General statement of revenue by budget heading I/19
    — Title 1: Own resources I/20
    — Title 3: Surpluses, balances and adjustments I/41
    — Title 4: Revenue accruing from persons working with the institutions and with other Community bodies I/53
    — Title 5: Revenue accruing from the administrative operation of the institutions I/62
    — Title 6: Contributions and refunds in connection with Community agreements and programmes I/73
    — Title 7: Interest on late payments and fines I/97
    — Title 8: Borrowing-and-lending operations I/101
    — Title 9: Miscellaneous revenue I/118
    C. Staff I/121
    D. Buildings I/171

    STATEMENT OF REVENUE AND EXPENDITURE BY SECTION

    Section I: Parliament

    — Revenue I/178
    — Title 4: Revenue accruing from persons working with the institutions and other Community bodies I/178
    — Title 5: Revenue accruing from the administrative operation of the institution I/181
    — Title 6: Contributions and refunds in connection with Community agreements and programmes I/187
    — Title 9: Miscellaneous revenue I/189
    — Expenditure I/191
    — Title 1: Persons working with the institution I/192
    — Title 2: Buildings, furniture, equipment and miscellaneous operating expenditure I/208
    — Title 3: Expenditure resulting from general functions carried out by the institution I/218
    — Title 4: Expenditure resulting from special functions carried out by the institution I/228
    — Title 10: Other expenditure I/231

    Section II: Council

    — Revenue I/238
    — Title 4: Miscellaneous Community taxes, levies and dues I/238
    — Title 5: Revenue accruing from the administrative operation of the institution I/241
    — Title 6: Contributions and repayments under Community agreements and programmes I/247
    — Title 7: Interest on late payments I/249
    — Title 9: Miscellaneous revenue I/251
    — Expenditure I/253
    — Title 1: Persons working with the institution I/254
    — Title 2: Buildings, equipment and operating expenditure I/267
    — Title 3: Expenditure arising out of the institution's performance of its specific missions I/281
    — Title 10: Other expenditure I/294

    Section IV: Court of Justice

    — Revenue I/300
    — Title 4: Revenue from persons working with the institution I/300
    — Title 5: Revenue accruing from the administration of the institution I/303
    — Title 9: Miscellaneous revenue I/308
    — Expenditure I/310
    — Title 1: Persons working with the institution I/311
    — Title 2: Buildings, furniture, equipment and miscellaneous operating expenditure I/324
    — Title 3: Expenditure resulting from special functions carried out by the institution I/336
    — Title 10: Other expenditure I/338

    Section V: Court of Auditors

    — Revenue I/344
    — Title 4: Revenue accruing from persons working for the institutions and other Community bodies I/344
    — Title 5: Revenue accruing from the administrative operation of the institution I/347
    — Title 9: Miscellaneous revenue I/353
    — Expenditure I/355
    — Title 1: Expenditure relating to the institution I/356
    — Title 2: Buildings, movable property, equipment and miscellaneous operating expenditure I/370
    — Title 10: Other expenditure I/383

    Section VI: European Economic and Social Committee

    — Revenue I/388
    — Title 4: Revenue accruing from persons working with the institutions and other Community bodies I/388
    — Title 5: Revenue accruing from the administrative operation of the institution I/391
    — Title 9: Miscellaneous revenue I/397
    — Expenditure I/399
    — Title 1: Expenditure relating to persons working with the institution I/400
    — Title 2: Buildings, furniture, equipment and miscellaneous operating expenditure I/413
    — Title 10: Other expenditure I/427

    Section VII: Committee of the Regions

    — Revenue I/432
    — Title 4: Revenue accruing from persons working with the institutions and other Community bodies I/432
    — Title 5: Revenue accruing from the administrative operation of the institution I/435
    — Title 9: Miscellaneous revenue I/441
    — Expenditure I/443
    — Title 1: Persons working with the institution I/444
    — Title 2: Buildings, furniture, equipment and miscellaneous operating expenditure I/456
    — Title 10: Other expenditure I/469

    Section VIII: European Ombudsman

    — Revenue I/474
    — Title 4: Revenue accruing from persons working with the institutions and other Community bodies I/474
    — Title 6: Contributions and refunds in connection with community agreements and programmes I/477
    — Title 9: Miscellaneous revenue I/479
    — Expenditure I/481
    — Title 1: Expenditure relating to persons working with the institution I/482
    — Title 2: Buildings, furniture, equipment and miscellaneous operating expenditure I/491
    — Title 3: Expenditure resulting from general functions carried out by the institution I/497
    — Title 10: Other expenditure I/503

    Section IX: European Data-protection Supervisor

    — Revenue I/508
    — Title 4: Miscellaneous Community taxes, levies and charges I/508
    — Title 9: Miscellaneous revenue I/511
    — Expenditure I/513
    — Title 1: Expenditure relating to persons working with the institution I/514
    — Title 2: Buildings, equipment and miscellaneous operating expenditure I/526
    — Title 10: Other expenditure I/532

    A. INTRODUCTION AND FINANCING OF THE GENERAL BUDGET

    INTRODUCTION

    The general budget of the European Union is the instrument which sets out and authorises the total amount of revenue and expenditure deemed necessary for the European Community and the European Atomic Energy Community for each year.

    The budget is established and implemented in compliance with the principles of unity, budgetary accuracy, annuality, equilibrium, unit of account, universality, specification, sound financial management and transparency.

    The principle of unity and the principle of budgetary accuracy mean that all Community revenue and expenditure and that of the European Union when it is charged to the budget must be incorporated in a single document.

    The principle of annuality means that the budget is adopted for one budgetary year at a time and that both commitment and payment appropriations for the current budgetary year must, in principle, be used in the course of the year.

    The principle of equilibrium means that forecasts of revenue for the budgetary year must be equal to payment appropriations for that year: borrowing to cover any budget deficit which may arise is not compatible with the own resources system and will not be authorised.

    In accordance with the principle of unit of account, the budget is drawn up and implemented in euro and the accounts shall be presented in euro.

    The principle of universality means that total revenue is to cover total payment appropriations with the exception of a limited number of revenue items which are assigned to particular items of expenditure. All revenue and expenditure is entered in full in the budget without any adjustment against each other.

    The principle of specification means that each appropriation must have a given purpose and be assigned to a specific objective in order to prevent any confusion between appropriations.

    The principle of sound financial management is defined by reference to the principles of economy, efficiency and effectiveness.

    The budget is established in compliance with the principle of transparency, ensuring sound information on implementation of the budget and the accounts.

    The budget presents appropriations and resources by purpose (activity-based budgeting), with a view to enhancing transparency in the management of the budget with reference to the objectives of sound financial management and in particular efficiency and effectiveness.

    The expenditure authorised by the present budget totals EUR 126 551,10 million in commitment appropriations and EUR 115 497,22 million in payment appropriations, representing growth rates of 4,96 % and 7,56 % respectively by comparison with the 2006 budget.

    Budgetary revenue totals EUR 115 497,22 million. The uniform rate of call for the VAT resource is 0,3334 % whilst that for the GNI resource is 0,6769 %. Traditional own resources (customs duties, agricultural duties and sugar levies) account for 14,99 % of the financing of the budget for 2007. The VAT resource accounts for 15,44 % and the GNI resource for 68,53 %. Miscellaneous revenue for this financial year is estimated at EUR 1 209,27 million.

    The own resources needed to finance the 2007 budget account for 0,98 % of the total GNI, thus falling below the ceiling of 1,24 % of GNI calculated using the method set out in Article 3(1) of Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the European Communities’ own resources (OJ L 253, 7.10.2000, p. 42).

    The tables below set out step by step the method used to calculate the financing of the 2007 budget.

    FINANCING OF THE GENERAL BUDGET

    Appropriations to be covered during the financial year 2007 pursuant to Article 1 of Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the European Communities’ own resources

    EXPENDITURE

    Description

    Budget 2007

    Budget 2006 (1)

    Change (%)

    1. Sustainable growth

    44 862 050 319

    35 865 973 075

    +25,08

    2. Preservation and management of natural resources

    54 718 545 736

    54 579 470 941

    +0,25

    3. Citizenship, freedom, security and justice

    1 176 965 652

    1 162 155 453

    +1,27

    4. The EU as a global partner

    7 352 746 732

    8 093 291 458

    –9,15

    5. Administration

    6 942 264 030

    6 604 078 362

    +5,12

    6. Compensations

    444 646 152

    1 073 500 332

    –58,58

    Total expenditure  (2)

    115 497 218 621

    107 378 469 621

    +7,56


    REVENUE

    Description

    Budget 2007

    Budget 2006 (3)

    Change (%)

    Miscellaneous revenue (Titles 4 to 9)

    1 209 273 561

    2 349 189 094

    –48,52

    Surplus available from the preceding financial year (Chapter 3 0, Article 3 0 0)

    p.m.

    2 410 079 591

     

    Surplus of own resources resulting from a transfer from EAGGF Guarantee Section chapters (Chapter 3 0, Article 3 0 1)

    p.m.

    p.m.

     

    Surplus of own resources resulting from the repayment of the surplus of the Guarantee Fund for external actions (Chapter 3 0, Article 3 0 2)

    p.m.

    92 730 000

     

    Balance of own resources accruing from VAT and GNP/GNI-based own resources for earlier years (Chapters 3 1 and 3 2)

    p.m.

    1 516 079 442

     

    Total revenue for Titles 3 to 9

    1 209 273 561

    6 368 078 127

    –81,01

    Net amount of customs duties, agricultural duties and sugar levies (Chapters 1 0, 1 1 and 1 2)

    17 307 700 000

    14 888 900 000

    +16,25

    VAT own resources at the uniform rate (Tables 1 and 2, Chapter 1 3)

    17 827 409 252

    17 200 276 121

    +3,65

    Remainder to be financed by the additional resource (GNI own resources, Tables 3 and 4, Chapter 1 4)

    79 152 835 808

    68 921 215 373

    +14,85

    Appropriations to be covered by the own resources referred to in Article 2 of Decision 2000/597/EC, Euratom  (4)

    114 287 945 060

    101 010 391 494

    +13,14

    Total revenue  (5)

    115 497 218 621

    107 378 469 621

    +7,56


    TABLE 1

    Calculation of capping of harmonised value added tax (VAT) bases pursuant to Article 2(1)(c) of Decision 2000/597/EC, Euratom

    Member State

    1 % of non-capped VAT base

    1 % of gross national income

    Capping rate (in %)

    1 % of gross national income multiplied by capping rate

    1 % of capped VAT base (6)

    Member States whose VAT base is capped

     

    (1)

    (2)

    (4)

    (5)

    (6)

    (7)

    Belgium

    1 377 090 000

    3 254 093 000

    50

    1 627 046 500

    1 377 090 000

     

    Bulgaria

    133 630 000

    250 734 000

    50

    125 367 000

    125 367 000

    Bulgaria

    Czech Republic

    670 499 000

    1 101 606 000

    50

    550 803 000

    550 803 000

    Czech Republic

    Denmark

    891 726 000

    2 259 663 000

    50

    1 129 831 500

    891 726 000

     

    Germany

    9 919 942 000

    23 148 221 000

    50

    11 574 110 500

    9 919 942 000

     

    Estonia

    69 946 000

    124 726 000

    50

    62 363 000

    62 363 000

    Estonia

    Greece

    1 134 499 000

    2 032 580 000

    50

    1 016 290 000

    1 016 290 000

    Greece

    Spain

    6 192 350 000

    10 078 570 000

    50

    5 039 285 000

    5 039 285 000

    Spain

    France

    8 907 804 000

    18 438 795 000

    50

    9 219 397 500

    8 907 804 000

     

    Ireland

    915 297 000

    1 563 390 000

    50

    781 695 000

    781 695 000

    Ireland

    Italy

    5 792 627 000

    14 678 365 000

    50

    7 339 182 500

    5 792 627 000

     

    Cyprus

    117 035 000

    147 960 000

    50

    73 980 000

    73 980 000

    Cyprus

    Latvia

    76 233 000

    166 638 000

    50

    83 319 000

    76 233 000

     

    Lithuania

    101 663 000

    244 476 000

    50

    122 238 000

    101 663 000

     

    Luxembourg

    151 455 000

    260 122 000

    50

    130 061 000

    130 061 000

    Luxembourg

    Hungary

    385 117 000

    878 113 000

    50

    439 056 500

    385 117 000

     

    Malta

    38 849 000

    48 143 000

    50

    24 071 500

    24 071 500

    Malta

    Netherlands

    2 559 999 000

    5 346 690 000

    50

    2 673 345 000

    2 559 999 000

     

    Austria

    1 142 499 000

    2 624 363 000

    50

    1 312 181 500

    1 142 499 000

     

    Poland

    1 273 783 000

    2 639 229 000

    50

    1 319 614 500

    1 273 783 000

     

    Portugal

    949 154 000

    1 544 415 000

    50

    772 207 500

    772 207 500

    Portugal

    Romania

    384 105 000

    1 028 555 000

    50

    514 277 500

    384 105 000

     

    Slovenia

    159 684 000

    304 908 000

    50

    152 454 000

    152 454 000

    Slovenia

    Slovakia

    170 762 000

    454 120 000

    50

    227 060 000

    170 762 000

     

    Finland

    737 236 000

    1 688 352 000

    50

    844 176 000

    737 236 000

     

    Sweden

    1 330 523 000

    3 120 578 000

    50

    1 560 289 000

    1 330 523 000

     

    United Kingdom

    9 693 423 000

    19 514 935 000

    50

    9 757 467 500

    9 693 423 000

     

    Total

    55 276 930 000

    116 942 340 000

     

    58 471 170 000

    53 473 109 000

     


    Calculation of the uniform call rate for VAT own resources (Article 2(4) of Decision 2000/597/EC, Euratom):

    Uniform rate (%) = maximum call rate – frozen rate

     

    A. The maximum call rate is set at 0,50 % for 2007.

    B. Determination of the rate frozen by the correction of budgetary imbalances granted to the United Kingdom (Article 2(4)(b) of Decision 2000/597/EC, Euratom):

     

    (1) calculation of the theoretical share of the countries with a restricted financial burden:

     

    In accordance with Article 5(1) of Decision 2000/597/EC, Euratom, the financial contribution of Germany (DE), the Netherlands (NL), Austria (AT) and Sweden (SE) is restricted to a quarter of their normal contribution.

     

    Formula for a country with a restricted financial burden, for example Germany:

     

    Germany's theoretical VAT contribution = (Germany's capped VAT base / (EU capped VAT base – UK capped VAT base)) x 1/4 x United Kingdom correction

     

    Example: Germany

    Germany's theoretical VAT contribution = 9 919 942 000 / (53 473 109 000 – 9 693 423 000 ) × 1/4 × 5 251 202 631 = 297 464 591

     

    (2) calculation of the frozen rate:

     

    Frozen rate = (UK correction – theoretical VAT contributions (D + NL + A + S)]/[EU capped VAT base – capped VAT bases (UK+ D + NL + A + S))

    Frozen rate = 5 251 202 631 – (297 464 591 + 76 765 475 + 34 259 575 + 39 897 761 ))/(53 473 109 000 – (9 693 423 000 + 9 919 942 000 + 2 559 999 000 + 1 142 499 000 + 1 330 523 000 ))

    Frozen rate = 0,166609823430018 %

    Uniform rate

    0,5 % – 0, 166 609 823 430 018  % = 0,333390176569982 %


    TABLE 2

    Breakdown of own resources accruing from VAT pursuant to Article 2(1)(c) of Decision 2000/597/EC, Euratom (Chapter 1 3)

    Member State

    1 % of capped VAT base

    Maximum VAT call rate (in %)

    Uniform rate of VAT own resources (in %)

    VAT own resources at uniform rate

     

    (1)

    (2)

    (3)

    (4) = (1) × (3)

    Belgium

    1 377 090 000

    0,50

    0,333390177

    459 108 278

    Bulgaria

    125 367 000

    0,50

    0,333390177

    41 796 126

    Czech Republic

    550 803 000

    0,50

    0,333390177

    183 632 309

    Denmark

    891 726 000

    0,50

    0,333390177

    297 292 689

    Germany

    9 919 942 000

    0,50

    0,333390177

    3 307 211 215

    Estonia

    62 363 000

    0,50

    0,333390177

    20 791 212

    Greece

    1 016 290 000

    0,50

    0,333390177

    338 821 103

    Spain

    5 039 285 000

    0,50

    0,333390177

    1 680 048 116

    France

    8 907 804 000

    0,50

    0,333390177

    2 969 774 348

    Ireland

    781 695 000

    0,50

    0,333390177

    260 609 434

    Italy

    5 792 627 000

    0,50

    0,333390177

    1 931 204 938

    Cyprus

    73 980 000

    0,50

    0,333390177

    24 664 205

    Latvia

    76 233 000

    0,50

    0,333390177

    25 415 333

    Lithuania

    101 663 000

    0,50

    0,333390177

    33 893 446

    Luxembourg

    130 061 000

    0,50

    0,333390177

    43 361 060

    Hungary

    385 117 000

    0,50

    0,333390177

    128 394 225

    Malta

    24 071 500

    0,50

    0,333390177

    8 025 202

    Netherlands

    2 559 999 000

    0,50

    0,333390177

    853 478 519

    Austria

    1 142 499 000

    0,50

    0,333390177

    380 897 943

    Poland

    1 273 783 000

    0,50

    0,333390177

    424 666 739

    Portugal

    772 207 500

    0,50

    0,333390177

    257 446 395

    Romania

    384 105 000

    0,50

    0,333390177

    128 056 834

    Slovenia

    152 454 000

    0,50

    0,333390177

    50 826 666

    Slovakia

    170 762 000

    0,50

    0,333390177

    56 930 373

    Finland

    737 236 000

    0,50

    0,333390177

    245 787 240

    Sweden

    1 330 523 000

    0,50

    0,333390177

    443 583 298

    United Kingdom

    9 693 423 000

    0,50

    0,333390177

    3 231 692 006

    Total

    53 473 109 000

     

     

    17 827 409 252


    TABLE 3

    Determination of uniform rate and breakdown of resources based on gross national income pursuant to Article 2(1)(d) of Decision 2000/597/EC, Euratom (Chapter 1 4)

    Member State

    1 % of gross national income

    Uniform rate of ‘additional base’, own resources

    ‘Additional base’ own resources at uniform rate

     

    (1)

    (2)

    (3) = (1) × (2)

    Belgium

    3 254 093 000

     

    2 202 544 339

    Bulgaria

    250 734 000

     

    169 710 193

    Czech Republic

    1 101 606 000

     

    745 625 911

    Denmark

    2 259 663 000

     

    1 529 460 881

    Germany

    23 148 221 000

     

    15 667 955 129

    Estonia

    124 726 000

     

    84 421 234

    Greece

    2 032 580 000

     

    1 375 758 951

    Spain

    10 078 570 000

     

    6 821 715 697

    France

    18 438 795 000

     

    12 480 363 512

    Ireland

    1 563 390 000

     

    1 058 186 043

    Italy

    14 678 365 000

     

    9 935 103 187

    Cyprus

    147 960 000

     

    100 147 249

    Latvia

    166 638 000

    0,6768535 (7)

    112 789 519

    Lithuania

    244 476 000

     

    165 474 444

    Luxembourg

    260 122 000

     

    176 064 494

    Hungary

    878 113 000

     

    594 353 885

    Malta

    48 143 000

     

    32 585 760

    Netherlands

    5 346 690 000

     

    3 618 926 008

    Austria

    2 624 363 000

     

    1 776 309 364

    Poland

    2 639 229 000

     

    1 786 371 469

    Portugal

    1 544 415 000

     

    1 045 342 747

    Romania

    1 028 555 000

     

    696 181 084

    Slovenia

    304 908 000

     

    206 378 057

    Slovakia

    454 120 000

     

    307 372 726

    Finland

    1 688 352 000

     

    1 142 767 014

    Sweden

    3 120 578 000

     

    2 112 174 240

    United Kingdom

    19 514 935 000

     

    13 208 752 671

    Total

    116 942 340 000

     

    79 152 835 808


    TABLE 4

    Correction of budgetary imbalances for the United Kingdom for 2006 pursuant to Article 4 of Decision 2000/597/EC, Euratom (Chapter 1 5)

    Description

    Coefficient (8) (%)

    Amount

    1. United Kingdom’s share (in %) of total non-capped VAT bases

    17,5894

     

    2. United Kingdom’s share (in %) of PAE-adjusted total allocated expenditure

    8,6985

     

    3. (1) – (2)

    8,8909

     

    4. Total allocated expenditure

     

    100 442 931 519

    5. Pre-accession expenditure (PAE) (9)

     

    1 815 757 317

    6. PAE-adjusted total allocated expenditure = (4) – (5)

     

    98 627 174 202

    7. United Kingdom’s correction original amount = (3) × (6) × 0,66

     

    5 787 446 312

    8. United Kingdom’s advantage (10)

     

    528 700 814

    9. Basic compensation for the United Kingdom = (7) – (8)

     

    5 258 745 498

    10. Windfall gains deriving from traditional own resources (11)

     

    7 542 868

    11. Correction for the United Kingdom = (9) – (10)

     

    5 251 202 631


    TABLE 5

    Calculation of the financing of the correction for the United Kingdom amounting to EUR –5 251 202 631 (Chapter 1 5)

    Member State

    Percentage share of GNI base

    Shares without the United Kingdom

    Shares without Germany, the Netherlands, Austria, Sweden and the United Kingdom

    Three quarters of the share of Germany, the Netherlands, Austria and Sweden in column 2

    Column 4 distributed in accordance with column 3

    Financing scale

    Financing scale applied to the correction

     

    (1)

    (2)

    (3)

    (4)

    (5)

    (6) = (2) + (4) + (5)

    (7)

    Belgium

    2,78

    3,34

    5,15

     

    1,36

    4,70

    246 671 369

    Bulgaria

    0,21

    0,26

    0,40

     

    0,10

    0,36

    19 006 494

    Czech Republic

    0,94

    1,13

    1,74

     

    0,46

    1,59

    83 505 499

    Denmark

    1,93

    2,32

    3,58

     

    0,94

    3,26

    171 290 177

    Germany

    19,79

    23,76

    0,—

    –17,82

    0,—

    5,94

    311 914 289

    Estonia

    0,11

    0,13

    0,20

     

    0,05

    0,18

    9 454 657

    Greece

    1,74

    2,09

    3,22

     

    0,85

    2,93

    154 076 510

    Spain

    8,62

    10,34

    15,95

     

    4,20

    14,55

    763 990 047

    France

    15,77

    18,93

    29,18

     

    7,69

    26,62

    1 397 723 670

    Ireland

    1,34

    1,60

    2,47

     

    0,65

    2,26

    118 510 304

    Italy

    12,55

    15,07

    23,23

     

    6,12

    21,19

    1 112 670 226

    Cyprus

    0,13

    0,15

    0,23

     

    0,06

    0,21

    11 215 874

    Latvia

    0,14

    0,17

    0,26

     

    0,07

    0,24

    12 631 730

    Lithuania

    0,21

    0,25

    0,39

     

    0,10

    0,35

    18 532 116

    Luxembourg

    0,22

    0,27

    0,41

     

    0,11

    0,38

    19 718 136

    Hungary

    0,75

    0,90

    1,39

     

    0,37

    1,27

    66 563 966

    Malta

    0,04

    0,05

    0,08

     

    0,02

    0,07

    3 649 404

    Netherlands

    4,57

    5,49

    0,—

    –4,12

    0,—

    1,37

    72 044 802

    Austria

    2,24

    2,69

    0,—

    –2,02

    0,—

    0,67

    35 362 386

    Poland

    2,26

    2,71

    4,18

     

    1,10

    3,81

    200 062 577

    Portugal

    1,32

    1,59

    2,44

     

    0,64

    2,23

    117 071 935

    Romania

    0,88

    1,06

    1,63

     

    0,43

    1,48

    77 967 984

    Slovenia

    0,26

    0,31

    0,48

     

    0,13

    0,44

    23 113 068

    Slovakia

    0,39

    0,47

    0,72

     

    0,19

    0,66

    34 423 848

    Finland

    1,44

    1,73

    2,67

     

    0,70

    2,44

    127 982 851

    Sweden

    2,67

    3,20

    0,—

    –2,40

    0,—

    0,80

    42 048 712

    United Kingdom

    16,69

    0,—

    0,—

     

    0,—

    0,—

    0

    Total

    100,—

    100,—

    100,—

    –26,36

    26,36

    100,—

    5 251 202 631

    The calculations are made to 15 decimal places.

    TABLE 6

    Summary of financing (12) of the general budget by type of own resource and by Member State

    Member State

    Traditional own resources (TOR)

    VAT and GNI-based own resources, including UK correction payments

    Total own resources (13)

    Net agricultural duties (75 %)

    Net sugar and isoglucose levies (75 %)

    Net customs duties (75 %)

    Total net traditional own resources (75 %)

    p.m.

    Collection costs

    (25 % of gross TOR)

    VAT own resources

    GNI own resources

    United Kingdom correction

    Total ‘national contributions’

    Share in total ‘national contributions’ (%)

     

    (1)

    (2)

    (3)

    (4) = (1) + (2) + (3)

    (5)

    (6)

    (7)

    (8)

    (9) = (6) + (7) + (8)

    (10)

    (11) = (4) + (9)

    Belgium

    13 200 000

    30 500 000

    1 546 300 000

    1 590 000 000

    530 000 000

    459 108 278

    2 202 544 339

    246 671 369

    2 908 323 986

    3,—

    4 498 323 986

    Bulgaria

    8 600 000

    0

    83 500 000

    92 100 000

    30 700 000

    41 796 126

    169 710 193

    19 006 494

    230 512 813

    0,24

    322 612 813

    Czech Republic

    6 700 000

    10 200 000

    187 200 000

    204 100 000

    68 033 333

    183 632 309

    745 625 911

    83 505 499

    1 012 763 719

    1,04

    1 216 863 719

    Denmark

    38 600 000

    15 000 000

    293 100 000

    346 700 000

    115 566 667

    297 292 689

    1 529 460 881

    171 290 177

    1 998 043 747

    2,06

    2 344 743 747

    Germany

    239 500 000

    114 600 000

    2 820 400 000

    3 174 500 000

    1 058 166 663

    3 307 211 215

    15 667 955 129

    311 914 289

    19 287 080 633

    19,89

    22 461 580 633

    Estonia

    800 000

    0

    23 100 000

    23 900 000

    7 966 667

    20 791 212

    84 421 234

    9 454 657

    114 667 103

    0,12

    138 567 103

    Greece

    10 000 000

    5 800 000

    220 300 000

    236 100 000

    78 700 000

    338 821 103

    1 375 758 951

    154 076 510

    1 868 656 564

    1,93

    2 104 756 564

    Spain

    69 400 000

    9 100 000

    1 484 600 000

    1 563 100 000

    521 033 333

    1 680 048 116

    6 821 715 697

    763 990 047

    9 265 753 860

    9,55

    10 828 853 860

    France

    112 800 000

    160 000 000

    1 217 800 000

    1 490 600 000

    496 866 667

    2 969 774 348

    12 480 363 512

    1 397 723 670

    16 847 861 530

    17,37

    18 338 461 530

    Ireland

    500 000

    5 000 000

    233 200 000

    238 700 000

    79 566 667

    260 609 434

    1 058 186 043

    118 510 304

    1 437 305 781

    1,48

    1 676 005 781

    Italy

    108 700 000

    12 400 000

    1 503 200 000

    1 624 300 000

    541 433 333

    1 931 204 938

    9 935 103 187

    1 112 670 226

    12 978 978 351

    13,38

    14 603 278 351

    Cyprus

    5 500 000

    0

    37 100 000

    42 600 000

    14 200 000

    24 664 205

    100 147 249

    11 215 874

    136 027 328

    0,14

    178 627 328

    Latvia

    1 400 000

    4 300 000

    31 900 000

    37 600 000

    12 533 333

    25 415 333

    112 789 519

    12 631 730

    150 836 582

    0,16

    188 436 582

    Lithuania

    2 400 000

    4 100 000

    46 300 000

    52 800 000

    17 600 000

    33 893 446

    165 474 444

    18 532 116

    217 900 006

    0,22

    270 700 006

    Luxembourg

    400 000

    0

    18 700 000

    19 100 000

    6 366 667

    43 361 060

    176 064 494

    19 718 136

    239 143 690

    0,25

    258 243 690

    Hungary

    4 900 000

    6 200 000

    128 500 000

    139 600 000

    46 533 333

    128 394 225

    594 353 885

    66 563 966

    789 312 076

    0,81

    928 912 076

    Malta

    1 800 000

    0

    11 400 000

    13 200 000

    4 400 000

    8 025 202

    32 585 760

    3 649 404

    44 260 366

    0,05

    57 460 366

    Netherlands

    272 300 000

    31 700 000

    1 530 200 000

    1 834 200 000

    611 400 000

    853 478 519

    3 618 926 008

    72 044 802

    4 544 449 329

    4,69

    6 378 649 329

    Austria

    4 900 000

    9 500 000

    183 800 000

    198 200 000

    66 066 667

    380 897 943

    1 776 309 364

    35 362 386

    2 192 569 693

    2,26

    2 390 769 693

    Poland

    41 300 000

    48 300 000

    246 500 000

    336 100 000

    112 033 334

    424 666 739

    1 786 371 469

    200 062 577

    2 411 100 785

    2,49

    2 747 200 785

    Portugal

    20 900 000

    4 400 000

    107 200 000

    132 500 000

    44 166 667

    257 446 395

    1 045 342 747

    117 071 935

    1 419 861 077

    1,46

    1 552 361 077

    Romania

    23 300 000

    0

    142 400 000

    165 700 000

    55 233 334

    128 056 834

    696 181 084

    77 967 984

    902 205 902

    0,93

    1 067 905 902

    Slovenia

    100 000

    4 200 000

    36 400 000

    40 700 000

    13 566 667

    50 826 666

    206 378 057

    23 113 068

    280 317 791

    0,29

    321 017 791

    Slovakia

    1 400 000

    5 200 000

    55 700 000

    62 300 000

    20 766 667

    56 930 373

    307 372 726

    34 423 848

    398 726 947

    0,41

    461 026 947

    Finland

    6 900 000

    4 800 000

    131 500 000

    143 200 000

    47 733 333

    245 787 240

    1 142 767 014

    127 982 851

    1 516 537 105

    1,56

    1 659 737 105

    Sweden

    18 300 000

    8 900 000

    397 800 000

    425 000 000

    141 666 667

    443 583 298

    2 112 174 240

    42 048 712

    2 597 806 250

    2,68

    3 022 806 250

    United Kingdom

    472 100 000

    38 900 000

    2 569 800 000

    3 080 800 000

    1 026 933 334

    3 231 692 006

    13 208 752 671

    –5 251 202 631

    11 189 242 046

    11,54

    14 270 042 046

    Total

    1 486 700 000

    533 100 000

    15 287 900 000

    17 307 700 000

    5 769 233 333

    17 827 409 252

    79 152 835 808

    0

    96 980 245 060

    100,—

    114 287 945 060

    B. GENERAL STATEMENT OF REVENUE BY BUDGET HEADING

    Title

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

    1

    OWN RESOURCES

    114 287 945 060

    101 010 391 494

    98 373 313 140,90

    3

    SURPLUSES, BALANCES AND ADJUSTMENTS

    p.m.

    4 018 889 033

    5 700 453 008,36

    4

    REVENUE ACCRUING FROM PERSONS WORKING WITH THE INSTITUTIONS AND WITH OTHER COMMUNITY BODIES

    950 332 656

    1 034 904 640

    785 650 405,95

    5

    REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS

    80 546 000

    78 630 000

    177 149 462,50

    6

    CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH COMMUNITY AGREEMENTS AND PROGRAMMES

    10 000 000

    235 000 000

    1 641 785 879,12

    7

    INTEREST ON LATE PAYMENTS AND FINES

    123 000 000

    911 500 000

    356 379 646,77

    8

    BORROWING-AND-LENDING OPERATIONS

    25 284 905

    59 028 454

    41 756 678,60

    9

    MISCELLANEOUS REVENUE

    20 110 000

    30 126 000

    14 149 725,99

     

    GRAND TOTAL

    115 497 218 621

    107 378 469 621

    107 090 637 948,19

    TITLE 1

    OWN RESOURCES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 1 0

    1 0 0

    Agricultural duties established by the institutions of the European Communities in respect of trade with non-member countries under the common agricultural policy (Article 2(1)(a) of Decision 2000/597/EC, Euratom)

    1 0 0 0

    Agricultural duties established by the institutions of the European Communities in respect of trade with non-member countries under the common agricultural policy (Article 2(1)(a) of Decision 2000/597/EC, Euratom)

    1 486 700 000

    863 400 000

    1 350 779 664,23

     

    Article 1 0 0 — Total

    1 486 700 000

    863 400 000

    1 350 779 664,23

     

    CHAPTER 1 0 — TOTAL

    1 486 700 000

    863 400 000

    1 350 779 664,23

     

    CHAPTER 1 1

    1 1 0

    Sugar production levies

    92 325 000

    148 350 000

    584 954 405,85

    1 1 1

    Sugar storage levies

    p.m.

    p.m.

    0,—

    1 1 2

    Isoglucose production levies

    1 725 000

    1 125 000

    6 591 141,27

    1 1 3

    Charges levied on non-exported C sugar, C isoglucose and C inulin syrup production

    p.m.

    p.m.

    168 274,44

    1 1 4

    Charges levied on substituted C sugar and C isoglucose

    p.m.

    p.m.

    0,—

    1 1 5

    Production levy for inulin syrup

    1 050 000

    1 125 000

    2 632 765,32

    1 1 6

    Additional levies provided for in Regulation (EEC) No 1107/88

    p.m.

    p.m.

    100 770 566,52

    1 1 7

    Production charge

    p.m.

     

     

    1 1 8

    One-off amounts on additional sugar quota and supplementary isoglucose quota

    438 000 000

     

     

    1 1 9

    Surplus amount

    p.m.

     

     

     

    CHAPTER 1 1 — TOTAL

    533 100 000

    150 600 000

    695 117 153,40

     

    CHAPTER 1 2

    1 2 0

    Customs duties and other duties referred to in Article 2(1)(b) of Decision 2000/597/EC, Euratom

    15 287 900 000

    13 874 900 000

    12 017 241 801,46

     

    CHAPTER 1 2 — TOTAL

    15 287 900 000

    13 874 900 000

    12 017 241 801,46

     

    CHAPTER 1 3

    1 3 0

    Own resources accruing from value added tax pursuant to Article 2(1)(c) of Decision 2000/597/EC, Euratom

    17 827 409 252

    17 200 276 121

    15 618 908 472,73

     

    CHAPTER 1 3 — TOTAL

    17 827 409 252

    17 200 276 121

    15 618 908 472,73

     

    CHAPTER 1 4

    1 4 0

    Own resources based on gross national income pursuant to Article 2(1)(d) and Article 6 of Decision 2000/597/EC, Euratom

    1 4 0 0

    Own resources based on gross national income pursuant to Article 2(1)(d) of Decision 2000/597/EC, Euratom

    79 152 835 808

    68 463 215 373

    68 671 153 734,88

    1 4 0 2

    Own resources based on gross national income pursuant to Article 2(1)(d) and Article 6 of Decision 2000/597/EC, Euratom, corresponding to the reserve for loans and loan guarantees

    229 000 000

    140 445 954,14

    1 4 0 3

    Own resources based on gross national income pursuant to Article 2(1)(d) and Article 6 of Decision 2000/597/EC, Euratom, corresponding to the emergency aid reserve

    229 000 000

    0,—

     

    Article 1 4 0 — Total

    79 152 835 808

    68 921 215 373

    68 811 599 689,02

     

    CHAPTER 1 4 — TOTAL

    79 152 835 808

    68 921 215 373

    68 811 599 689,02

     

    CHAPTER 1 5

    1 5 0

    Correction of budgetary imbalances granted to the United Kingdom in accordance with Articles 4 and 5 of Decision 2000/597/EC, Euratom

    0

    0

    – 120 333 639,94

     

    CHAPTER 1 5 — TOTAL

    0

    0

    – 120 333 639,94

     

    Title 1 — Total

    114 287 945 060

    101 010 391 494

    98 373 313 140,90

    CHAPTER 1 0 —

    AGRICULTURAL DUTIES ESTABLISHED BY THE INSTITUTIONS OF THE EUROPEAN COMMUNITIES IN RESPECT OF TRADE WITH NON-MEMBER COUNTRIES UNDER THE COMMON AGRICULTURAL POLICY (ARTICLE 2(1)(A) OF DECISION 2000/597/EC, EURATOM)

    CHAPTER 1 1 —

    LEVIES AND OTHER DUTIES PROVIDED FOR UNDER THE COMMON ORGANISATION OF THE MARKETS IN SUGAR (ARTICLE 2(1)(A) OF DECISION 2000/597/EC, EURATOM)

    CHAPTER 1 2 —

    CUSTOMS DUTIES AND OTHER DUTIES REFERRED TO IN ARTICLE 2(1)(B) OF DECISION 2000/597/EC, EURATOM

    CHAPTER 1 3 —

    OWN RESOURCES ACCRUING FROM VALUE ADDED TAX PURSUANT TO ARTICLE 2(1)(C) OF DECISION 2000/597/EC, EURATOM

    CHAPTER 1 4 —

    OWN RESOURCES BASED ON GROSS NATIONAL INCOME PURSUANT TO ARTICLE 2(1)(D) AND ARTICLE 6 OF DECISION 2000/597/EC, EURATOM

    CHAPTER 1 5 —

    CORRECTION OF BUDGETARY IMBALANCES

    CHAPTER 1 0 —   AGRICULTURAL DUTIES ESTABLISHED BY THE INSTITUTIONS OF THE EUROPEAN COMMUNITIES IN RESPECT OF TRADE WITH NON-MEMBER COUNTRIES UNDER THE COMMON AGRICULTURAL POLICY (ARTICLE 2(1)(A) OF DECISION 2000/597/EC, EURATOM)

    1 0 0   Agricultural duties established by the institutions of the European Communities in respect of trade with non-member countries under the common agricultural policy (Article 2(1)(a) of Decision 2000/597/EC, Euratom)

    1 0 0 0   Agricultural duties established by the institutions of the European Communities in respect of trade with non-member countries under the common agricultural policy (Article 2(1)(a) of Decision 2000/597/EC, Euratom)

    Financial year 2007

    Financial year 2006

    Financial year 2005

    1 486 700 000

    863 400 000

    1 350 779 664,23

    Agricultural duties are levied on imports from non-member countries of agricultural products subject to legislation, the purpose of which is to offset differences between the world prices and the price levels agreed on for the Community.

    Forecasts are net figures (without collection costs).

    Legal basis

    Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the Communities’ own resources (OJ L 253, 7.10.2000, p. 42), and in particular Article 2(1)(a) thereof.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    13 200 000

    7 803 851

    12 251 060,30

    Bulgaria

    8 600 000

     

     

    Czech Republic

    6 700 000

    3 958 475

    6 237 763,76

    Denmark

    38 600 000

    22 959 156

    35 839 424,67

    Germany

    239 500 000

    142 165 811

    222 342 872,61

    Estonia

    800 000

    452 397

    750 751,94

    Greece

    10 000 000

    5 881 163

    9 288 611,59

    Spain

    69 400 000

    41 168 143

    64 471 062,45

    France

    112 800 000

    66 954 781

    104 741 171,33

    Ireland

    500 000

    339 298

    497 106,64

    Italy

    108 700 000

    64 466 597

    100 879 669,27

    Cyprus

    5 500 000

    3 279 879

    5 105 947,13

    Latvia

    1 400 000

    791 695

    1 311 900,86

    Lithuania

    2 400 000

    1 470 291

    2 212 280,19

    Luxembourg

    400 000

    226 199

    362 653,15

    Hungary

    4 900 000

    2 940 582

    4 543 664,66

    Malta

    1 800 000

    1 017 894

    1 671 372,02

    Netherlands

    272 300 000

    161 618 889

    252 786 790,75

    Austria

    4 900 000

    2 827 482

    4 506 123,35

    Poland

    41 300 000

    24 542 547

    38 324 058,35

    Portugal

    20 900 000

    12 440 922

    19 447 515,13

    Romania

    23 300 000

     

     

    Slovenia

    100 000

    113 099

    100 858,25

    Slovakia

    1 400 000

    904 794

    1 341 662,68

    Finland

    6 900 000

    4 071 575

    6 444 621,21

    Sweden

    18 300 000

    10 857 532

    17 011 843,76

    United Kingdom

    472 100 000

    280 146 948

    438 308 878,18

    Item 1 0 0 0 — Total

    1 486 700 000

    863 400 000

    1 350 779 664,23

    CHAPTER 1 1 —   LEVIES AND OTHER DUTIES PROVIDED FOR UNDER THE COMMON ORGANISATION OF THE MARKETS IN SUGAR (ARTICLE 2(1)(A) OF DECISION 2000/597/EC, EURATOM)

    1 1 0   Sugar production levies

    Financial year 2007

    Financial year 2006

    Financial year 2005

    92 325 000

    148 350 000

    584 954 405,85

    Under the common organisation of the market in the sugar sector, sugar producers pay basic and B production levies to cover market support expenditure.

    However, the application of a ceiling to the levies as provided for in Article 15 of Regulation (EC) No 1260/2001 may lead to their not fully covering the estimated total loss due to the existence of an exportable surplus calculated in accordance with paragraphs 1 and 2 of the said Article. The complementary levy referred to in Article 1 1 6 of this chapter will then have to be paid by sugar producers in accordance with Article 16 of Regulation (EC) No 1260/2001.

    Forecasts are net figures (without collection costs).

    Legal basis

    Council Regulation (EC) No 1260/2001 of 19 June 2001 on the common organisation of the markets in the sugar sector (OJ L 178, 30.6.2001, p. 1), as last amended by Regulation (EC) No 318/2006 (OJ L 58, 28.2.2006, p. 1).

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    4 550 000

    7 600 000

    33 523 629,16

    Bulgaria

     

     

    Czech Republic

    2 175 000

    2 500 000

    6 809 508,57

    Denmark

    2 400 000

    4 400 000

    20 979 225,74

    Germany

    19 350 000

    35 925 000

    175 266 702,11

    Estonia

    0,—

    Greece

    1 675 000

    2 300 000

    2 459 674,41

    Spain

    4 900 000

    5 675 000

    16 536 990,64

    France

    19 825 000

    35 450 000

    167 631 619,50

    Ireland

    1 025 000

    1 400 000

    5 108 032,77

    Italy

    8 350 000

    13 725 000

    10 891 310,96

    Cyprus

    0,—

    Latvia

    325 000

    300 000

    636 517,83

    Lithuania

    500 000

    500 000

    976 380,27

    Luxembourg

    0,—

    Hungary

    1 850 000

    1 900 000

    3 941 681,93

    Malta

    0,—

    Netherlands

    4 850 000

    8 600 000

    40 264 191,84

    Austria

    2 150 000

    3 700 000

    16 697 869,90

    Poland

    8 250 000

    10 325 000

    33 718 583,20

    Portugal

    425 000

    500 000

    1 794 867,73

    Romania

     

     

    Slovenia

    225 000

    300 000

    360 560,68

    Slovakia

    1 075 000

    1 425 000

    5 200 292,84

    Finland

    750 000

    1 100 000

    3 744 905,36

    Sweden

    1 850 000

    2 600 000

    9 214 800,83

    United Kingdom

    5 825 000

    8 125 000

    29 197 059,58

    Article 1 1 0 — Total

    92 325 000

    148 350 000

    584 954 405,85

    1 1 1   Sugar storage levies

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    This article is intended for recording the income charged by new Member States in the event of non elimination of sugar stocks considered surplus within the meaning of Commission Regulation (EC) No 60/2004 of 14 January 2004 laying down transitional measures in the sugar sector by reason of the accession of the Czech Republic, Estonia, Cyprus, Latvia, Lithuania, Hungary, Malta, Poland, Slovenia and Slovakia (OJ L 9, 15.1.2004, p. 8).

    It is also intended to record revenue from the outstanding sugar storage levies as Council Regulation (EC) No 1260/2001 of 19 June 2001 on the common organisation of the markets in the sugar sector (OJ L 178, 30.6.2001, p. 1) abolished the storage levy.

    This article also covers the amounts due pursuant to Article 5 of Commission Regulation (EEC) No 65/82 of 13 January 1982 laying down detailed rules for carrying forward sugar to the following marketing year (OJ L 9, 14.1.1982, p. 14) when the obligation to store sugar carried forward is not complied with and the amounts due according to Council Regulation (EEC) No 1789/81 laying down general rules concerning the system of minimum stocks in the sugar sector (OJ L 177, 1.7.1981, p. 39) when the general rules concerning the system of minimum stocks in the sugar sector are not complied with.

    Forecasts are net figures (without collection costs).

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    p.m.

    p.m.

    0,—

    Bulgaria

    p.m.

     

     

    Czech Republic

    p.m.

    p.m.

    0,—

    Denmark

    p.m.

    p.m.

    0,—

    Germany

    p.m.

    p.m.

    0,—

    Estonia

    p.m.

    0,—

    Greece

    p.m.

    p.m.

    0,—

    Spain

    p.m.

    p.m.

    0,—

    France

    p.m.

    p.m.

    0,—

    Ireland

    p.m.

    p.m.

    0,—

    Italy

    p.m.

    p.m.

    0,—

    Cyprus

    p.m.

    0,—

    Latvia

    p.m.

    p.m.

    0,—

    Lithuania

    p.m.

    p.m.

    0,—

    Luxembourg

    0,—

    Hungary

    p.m.

    p.m.

    0,—

    Malta

    p.m.

    0,—

    Netherlands

    p.m.

    p.m.

    0,—

    Austria

    p.m.

    p.m.

    0,—

    Poland

    p.m.

    p.m.

    0,—

    Portugal

    p.m.

    p.m.

    0,—

    Romania

    p.m.

     

     

    Slovenia

    p.m.

    p.m.

    0,—

    Slovakia

    p.m.

    p.m.

    0,—

    Finland

    p.m.

    p.m.

    0,—

    Sweden

    p.m.

    p.m.

    0,—

    United Kingdom

    p.m.

    p.m.

    0,—

    Article 1 1 1 — Total

    p.m.

    p.m.

    0,—

    1 1 2   Isoglucose production levies

    Financial year 2007

    Financial year 2006

    Financial year 2005

    1 725 000

    1 125 000

    6 591 141,27

    The common organisation of the markets in sugar provides that isoglucose-production undertakings pay basic and B production levies intended to cover market support expenditure.

    However, the application of a ceiling to the levies as provided for in Article 15 of Regulation (EC) No 1260/2001 may lead to their not fully covering the estimated total loss due to the existence of an exportable surplus calculated in accordance with paragraphs 1 and 2 of the said Article. The complementary levy referred to in Article 1 1 6 of this chapter will then have to be paid by isoglucose producers in accordance with Article 16 of Regulation (EC) No 1260/2001.

    Forecasts are net figures (without collection costs).

    Legal basis

    Council Regulation (EC) No 1260/2001 of 19 June 2001 on the common organisation of the markets in the sugar sector (OJ L 178, 30.6.2001, p. 1), as last amended by Regulation (EC) No 318/2006 (OJ L 58, 28.2.2006, p. 1).

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    300 000

    150 000

    1 437 591,91

    Bulgaria

     

     

    Czech Republic

    0,—

    Denmark

    0,—

    Germany

    225 000

    75 000

    584 100,39

    Estonia

    0,—

    Greece

    150 000

    p.m.

    253 857,7

    Spain

    225 000

    225 000

    923 626,08

    France

    75 000

    75 000

    446 301 ,

    Ireland

    0,—

    Italy

    75 000

    75 000

    369 705,95

    Cyprus

    0,—

    Latvia

    0,—

    Lithuania

    0,—

    Luxembourg

    0,—

    Hungary

    375 000

    300 000

    877 053,28

    Malta

    0,—

    Netherlands

    p.m.

    p.m.

    165 276,76

    Austria

    0,—

    Poland

    p.m.

    75 000

    261 449,69

    Portugal

    p.m.

    p.m.

    180 099,86

    Romania

     

     

    Slovenia

    0,—

    Slovakia

    150 000

    75 000

    560 256,14

    Finland

    75 000

    p.m.

    73 440,44

    Sweden

    0,—

    United Kingdom

    75 000

    75 000

    458 382,07

    Article 1 1 2 — Total

    1 725 000

    1 125 000

    6 591 141,27

    1 1 3   Charges levied on non-exported C sugar, C isoglucose and C inulin syrup production

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    168 274,44

    Forecasts are net figures (without collection costs).

    Legal basis

    Commission Regulation (EEC) No 2670/81 of 14 September 1981 laying down detailed implementing rules in respect of sugar production in excess of the quota (OJ L 262, 16.9.1981, p. 14), as last amended by Regulation (EC) No 967/2006 (OJ L 176, 30.6.2006, p. 22).

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    p.m.

    p.m.

    0,—

    Bulgaria

     

     

    Czech Republic

    p.m.

    p.m.

    0,—

    Denmark

    p.m.

    p.m.

    0,—

    Germany

    p.m.

    p.m.

    168 274,44

    Estonia

    0,—

    Greece

    p.m.

    p.m.

    0,—

    Spain

    p.m.

    p.m.

    0,—

    France

    p.m.

    p.m.

    0,—

    Ireland

    p.m.

    p.m.

    0,—

    Italy

    p.m.

    p.m.

    0,—

    Cyprus

    0,—

    Latvia

    p.m.

    p.m.

    0,—

    Lithuania

    p.m.

    p.m.

    0,—

    Luxembourg

    0,—

    Hungary

    p.m.

    p.m.

    0,—

    Malta

    0,—

    Netherlands

    p.m.

    p.m.

    0,—

    Austria

    p.m.

    p.m.

    0,—

    Poland

    p.m.

    p.m.

    0,—

    Portugal

    p.m.

    p.m.

    0,—

    Romania

     

     

    Slovenia

    p.m.

    p.m.

    0,—

    Slovakia

    p.m.

    p.m.

    0,—

    Finland

    p.m.

    p.m.

    0,—

    Sweden

    p.m.

    p.m.

    0,—

    United Kingdom

    p.m.

    p.m.

    0,—

    Article 1 1 3 — Total

    p.m.

    p.m.

    168 274,44

    1 1 4   Charges levied on substituted C sugar and C isoglucose

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Forecasts are net figures (without collection costs).

    Legal basis

    Commission Regulation (EEC) No 2670/81 of 14 September 1981 laying down detailed implementing rules in respect of sugar production in excess of the quota (OJ L 262, 16.9.1981, p. 14), as last amended by Regulation (EC) No 967/2006 (OJ L 176, 30.6.2006, p. 22).

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    p.m.

    p.m.

    0,—

    Bulgaria

     

     

    Czech Republic

    p.m.

    p.m.

    0,—

    Denmark

    p.m.

    p.m.

    0,—

    Germany

    p.m.

    p.m.

    0,—

    Estonia

    0,—

    Greece

    p.m.

    p.m.

    0,—

    Spain

    p.m.

    p.m.

    0,—

    France

    p.m.

    p.m.

    0,—

    Ireland

    p.m.

    p.m.

    0,—

    Italy

    p.m.

    p.m.

    0,—

    Cyprus

    0,—

    Latvia

    p.m.

    p.m.

    0,—

    Lithuania

    p.m.

    p.m.

    0,—

    Luxembourg

    0,—

    Hungary

    p.m.

    p.m.

    0,—

    Malta

    0,—

    Netherlands

    p.m.

    p.m.

    0,—

    Austria

    p.m.

    p.m.

    0,—

    Poland

    p.m.

    p.m.

    0,—

    Portugal

    p.m.

    p.m.

    0,—

    Romania

     

     

    Slovenia

    p.m.

    p.m.

    0,—

    Slovakia

    p.m.

    p.m.

    0,—

    Finland

    p.m.

    p.m.

    0,—

    Sweden

    p.m.

    p.m.

    0,—

    United Kingdom

    p.m.

    p.m.

    0,—

    Article 1 1 4 — Total

    p.m.

    p.m.

    0,—

    1 1 5   Production levy for inulin syrup

    Financial year 2007

    Financial year 2006

    Financial year 2005

    1 050 000

    1 125 000

    2 632 765,32

    Continuation of the existing production quota arrangements for sugar requires that similar arrangements be applied to the production of inulin syrup, a direct substitute for isoglucose and liquid sugar, to prevent this product from disturbing a market which, because of the surplus, could further increase the export costs of sugar and isoglucose producers alone.

    The common organisation of the market in sugar provides that inulin syrup producers pay basic and B production levies and where necessary the additional levy covering market support expenditure.

    Forecasts are net figures (without collection costs).

    Legal basis

    Council Regulation (EC) No 1260/2001 of 19 June 2001 on the common organisation of the markets in the sugar sector (OJ L 178, 30.6.2001, p. 1), as last amended by Commission Regulation (EC) No 318/2006 (OJ L 58, 28.2.2006, p. 1).

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    750 000

    750 000

    1 918 692,34

    Bulgaria

     

     

    Czech Republic

    0,—

    Denmark

    0,—

    Germany

    0,—

    Estonia

    0,—

    Greece

    0,—

    Spain

    0,—

    France

    75 000

    75 000

    217 339,50

    Ireland

    0,—

    Italy

    0,—

    Cyprus

    0,—

    Latvia

    0,—

    Lithuania

    0,—

    Luxembourg

    0,—

    Hungary

    0,—

    Malta

    0,—

    Netherlands

    225 000

    300 000

    496 733,48

    Austria

    0,—

    Poland

    0,—

    Portugal

    0,—

    Romania

     

     

    Slovenia

    0,—

    Slovakia

    0,—

    Finland

    0,—

    Sweden

    0,—

    United Kingdom

    0,—

    Article 1 1 5 — Total

    1 050 000

    1 125 000

    2 632 765,32

    1 1 6   Additional levies provided for in Regulation (EEC) No 1107/88

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    100 770 566,52

    The additional levy is intended to eliminate completely the total loss within the meaning of Article 15 of Regulation (EC) No 1260/2001 recorded since the 1988/89 marketing year and not covered by the yield of the production levies applicable to those years.

    Forecasts are net figures (without collection costs).

    Legal basis

    Council Regulation (EC) No 1260/2001 of 19 June 2001 on the common organisation of the markets in the sugar sector (OJ L 178, 30.6.2001, p. 1), as last amended by Commission Regulation (EC) No 318/2006 (OJ L 58, 28.2.2006, p. 1).

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    p.m.

    p.m.

    5 876 814,19

    Bulgaria

     

     

    Czech Republic

    p.m.

    p.m.

    1 886 849,42

    Denmark

    p.m.

    p.m.

    3 340 253,23

    Germany

    p.m.

    p.m.

    28 021 825,37

    Estonia

    0,—

    Greece

    p.m.

    p.m.

    391 949,12

    Spain

    p.m.

    p.m.

    2 782 349,27

    France

    p.m.

    p.m.

    26 712 099,75

    Ireland

    p.m.

    p.m.

    813 964,95

    Italy

    p.m.

    p.m.

    1 794 443,05

    Cyprus

    0,—

    Latvia

    p.m.

    p.m.

    172 057,26

    Lithuania

    p.m.

    p.m.

    263 944,88

    Luxembourg

    0,—

    Hungary

    p.m.

    p.m.

    1 308 807,26

    Malta

    0,—

    Netherlands

    p.m.

    p.m.

    6 521 590,30

    Austria

    p.m.

    p.m.

    2 660 805,57

    Poland

    p.m.

    p.m.

    9 450 569,76

    Portugal

    p.m.

    p.m.

    314 711,09

    Romania

     

     

    Slovenia

    p.m.

    p.m.

    97 462,22

    Slovakia

    p.m.

    p.m.

    1 581 051,30

    Finland

    p.m.

    p.m.

    608 461,77

    Sweden

    p.m.

    p.m.

    1 442 729,81

    United Kingdom

    p.m.

    p.m.

    4 727 826,95

    Article 1 1 6 — Total

    p.m.

    p.m.

    100 770 566,52

    1 1 7   Production charge

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New article

    Under the common organisation of the markets in the sugar sector, a production charge is levied on undertakings producing sugar, isoglucose or inulin syrup in accordance with Article 16 of Regulation (EC) No 318/2006.

    Forecasts are net figures (without collection costs).

    Legal basis

    Council Regulation (EC) No 318/2006 of 20 February 2006 on the common organisation of the markets in the sugar sector (OJ L 58, 28.2.2006, p. 1), as last amended by Regulation (EC) No 2011/2006 (OJ L 384, 29.12.2006, p. 1).

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    p.m.

     

     

    Bulgaria

    p.m.

     

     

    Czech Republic

    p.m.

     

     

    Denmark

    p.m.

     

     

    Germany

    p.m.

     

     

    Estonia

     

     

    Greece

    p.m.

     

     

    Spain

    p.m.

     

     

    France

    p.m.

     

     

    Ireland

    p.m.

     

     

    Italy

    p.m.

     

     

    Cyprus

     

     

    Latvia

    p.m.

     

     

    Lithuania

    p.m.

     

     

    Luxembourg

     

     

    Hungary

    p.m.

     

     

    Malta

     

     

    Netherlands

    p.m.

     

     

    Austria

    p.m.

     

     

    Poland

    p.m.

     

     

    Portugal

    p.m.

     

     

    Romania

    p.m.

     

     

    Slovenia

    p.m.

     

     

    Slovakia

    p.m.

     

     

    Finland

    p.m.

     

     

    Sweden

    p.m.

     

     

    United Kingdom

    p.m.

     

     

    Article 1 1 7 — Total

    p.m.

     

     

    1 1 8   One-off amounts on additional sugar quota and supplementary isoglucose quota

    Financial year 2007

    Financial year 2006

    Financial year 2005

    438 000 000

     

     

    New article

    A one-off amount is levied on additional sugar quota or supplementary isoglucose quota which have been allocated to undertakings in accordance with Articles 8 and 9 (2) and (3) of Council Regulation (EC) No 318/2006.

    Forecasts are net figures (without collection costs).

    Legal basis

    Council Regulation (EC) No 318/2006 of 20 February 2006 on the common organisation of the markets in the sugar sector (OJ L 58, 28.2.2006, p. 1), as last amended by Regulation (EC) No 2011/2006 (OJ L 384, 29.12.2006, p. 1).

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    24 900 000

     

     

    Bulgaria

     

     

    Czech Republic

    8 025 000

     

     

    Denmark

    12 600 000

     

     

    Germany

    95 025 000

     

     

    Estonia

     

     

    Greece

    3 975 000

     

     

    Spain

    3 975 000

     

     

    France

    140 025 000

     

     

    Ireland

    3 975 000

     

     

    Italy

    3 975 000

     

     

    Cyprus

     

     

    Latvia

    3 975 000

     

     

    Lithuania

    3 600 000

     

     

    Luxembourg

     

     

    Hungary

    3 975 000

     

     

    Malta

     

     

    Netherlands

    26 625 000

     

     

    Austria

    7 350 000

     

     

    Poland

    40 050 000

     

     

    Portugal

    3 975 000

     

     

    Romania

     

     

    Slovenia

    3 975 000

     

     

    Slovakia

    3 975 000

     

     

    Finland

    3 975 000

     

     

    Sweden

    7 050 000

     

     

    United Kingdom

    33 000 000

     

     

    Article 1 1 8 — Total

    438 000 000

     

     

    1 1 9   Surplus amount

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New article

    A surplus amount shall be levied and charged by the Member States to the undertakings concerned located on its territory in accordance with Article 15 of Council Regulation (EC) No 318/2006.

    Forecasts are net figures (without collection costs).

    Legal basis

    Council Regulation (EC) No 318/2006 of 20 February 2006 on the common organisation of the markets in the sugar sector (OJ L 58, 28.2.2006, p. 1), as last amended by Regulation (EC) No 2011/2006 (OJ L 384, 29.12.2006, p. 1).

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    p.m.

     

     

    Bulgaria

    p.m.

     

     

    Czech Republic

    p.m.

     

     

    Denmark

    p.m.

     

     

    Germany

    p.m.

     

     

    Estonia

     

     

    Greece

    p.m.

     

     

    Spain

    p.m.

     

     

    France

    p.m.

     

     

    Ireland

    p.m.

     

     

    Italy

    p.m.

     

     

    Cyprus

     

     

    Latvia

    p.m.

     

     

    Lithuania

    p.m.

     

     

    Luxembourg

     

     

    Hungary

    p.m.

     

     

    Malta

     

     

    Netherlands

    p.m.

     

     

    Austria

    p.m.

     

     

    Poland

    p.m.

     

     

    Portugal

    p.m.

     

     

    Romania

    p.m.

     

     

    Slovenia

    p.m.

     

     

    Slovakia

    p.m.

     

     

    Finland

    p.m.

     

     

    Sweden

    p.m.

     

     

    United Kingdom

    p.m.

     

     

    Article 1 1 9 — Total

    p.m.

     

     

    CHAPTER 1 2 —   CUSTOMS DUTIES AND OTHER DUTIES REFERRED TO IN ARTICLE 2(1)(B) OF DECISION 2000/597/EC, EURATOM

    1 2 0   Customs duties and other duties referred to in Article 2(1)(b) of Decision 2000/597/EC, Euratom

    Financial year 2007

    Financial year 2006

    Financial year 2005

    15 287 900 000

    13 874 900 000

    12 017 241 801,46

    The assignment of customs duties as own resources to the financing of common expenditure is the logical consequence of the free movement of goods within the Community.

    Forecasts are net figures (without collection costs).

    Legal basis

    Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the Communities’ own resources (OJ L 253, 7.10.2000, p. 42), and in particular Article 2(1)(b) thereof.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    1 546 300 000

    1 444 700 000

    1 318 186 828,81

    Bulgaria

    83 500 000

     

     

    Czech Republic

    187 200 000

    151 700 000

    131 195 702,71

    Denmark

    293 100 000

    266 300 000

    238 043 764,84

    Germany

    2 820 400 000

    2 613 100 000

    2 297 973 901,73

    Estonia

    23 100 000

    19 800 000

    15 253 311,03

    Greece

    220 300 000

    202 500 000

    187 254 454,10

    Spain

    1 484 600 000

    1 295 800 000

    1 013 095 014,78

    France

    1 217 800 000

    1 130 900 000

    1 037 512 204,50

    Ireland

    233 200 000

    209 600 000

    175 830 503,79

    Italy

    1 503 200 000

    1 437 500 000

    1 227 941 795,59

    Cyprus

    37 100 000

    34 000 000

    30 130 173,19

    Latvia

    31 900 000

    26 000 000

    18 232 980,59

    Lithuania

    46 300 000

    40 800 000

    30 683 837,13

    Luxembourg

    18 700 000

    17 200 000

    15 449 817,85

    Hungary

    128 500 000

    114 400 000

    102 598 911,68

    Malta

    11 400 000

    10 700 000

    10 225 057,86

    Netherlands

    1 530 200 000

    1 403 000 000

    1 184 068 146,75

    Austria

    183 800 000

    179 100 000

    164 652 391,76

    Poland

    246 500 000

    218 800 000

    190 279 111,78

    Portugal

    107 200 000

    99 200 000

    86 289 326,24

    Romania

    142 400 000

     

     

    Slovenia

    36 400 000

    33 500 000

    27 587 236,98

    Slovakia

    55 700 000

    47 400 000

    35 389 571,27

    Finland

    131 500 000

    118 700 000

    101 847 982,06

    Sweden

    397 800 000

    377 100 000

    323 365 381,83

    United Kingdom

    2 569 800 000

    2 383 100 000

    2 054 154 392,61

    Article 1 2 0 — Total

    15 287 900 000

    13 874 900 000

    12 017 241 801,46

    CHAPTER 1 3 —   OWN RESOURCES ACCRUING FROM VALUE ADDED TAX PURSUANT TO ARTICLE 2(1)(C) OF DECISION 2000/597/EC, EURATOM

    1 3 0   Own resources accruing from value added tax pursuant to Article 2(1)(c) of Decision 2000/597/EC, Euratom

    Financial year 2007

    Financial year 2006

    Financial year 2005

    17 827 409 252

    17 200 276 121

    15 618 908 472,73

    The applied uniform rate valid for all Member States to the harmonised VAT assessment bases determined according to Community rules is of 0,3334 %. Thus account has been taken of the capped VAT bases and of the compensation arrangements for the United Kingdom.

    Legal basis

    Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the Communities’ own resources (OJ L 253, 7.10.2000, p. 42), and in particular Article 2(1)(c) thereof.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    459 108 278

    445 821 747

    398 889 294,96

    Bulgaria

    41 796 126

     

     

    Czech Republic

    183 632 309

    170 342 558

    148 226 471,23

    Denmark

    297 292 689

    289 309 330

    251 643 783,51

    Germany

    3 307 211 215

    3 290 759 430

    3 033 119 601,96

    Estonia

    20 791 212

    18 797 330

    14 258 320,08

    Greece

    338 821 103

    320 027 238

    281 291 814,—

    Spain

    1 680 048 116

    1 593 800 795

    1 340 497 310,04

    France

    2 969 774 348

    2 887 911 189

    2 571 592 188,96

    Ireland

    260 609 434

    244 160 300

    209 926 616,04

    Italy

    1 931 204 938

    1 890 246 437

    1 928 340 858,96

    Cyprus

    24 664 205

    23 479 524

    20 489 243,50

    Latvia

    25 415 333

    22 608 876

    16 643 901,85

    Lithuania

    33 893 446

    31 220 691

    30 415 704,02

    Luxembourg

    43 361 060

    40 889 106

    38 392 980,96

    Hungary

    128 394 225

    126 441 810

    117 900 982,89

    Malta

    8 025 202

    7 721 123

    7 050 777,71

    Netherlands

    853 478 519

    835 916 997

    733 585 232,04

    Austria

    380 897 943

    370 193 483

    332 550 012,—

    Poland

    424 666 739

    412 314 701

    363 995 100,87

    Portugal

    257 446 395

    249 555 485

    217 892 448,96

    Romania

    128 056 834

     

     

    Slovenia

    50 826 666

    48 193 349

    43 568 342,92

    Slovakia

    56 930 373

    53 592 745

    48 917 979,76

    Finland

    245 787 240

    239 931 873

    213 854 931,—

    Sweden

    443 583 298

    429 230 091

    383 149 109,36

    United Kingdom

    3 231 692 006

    3 157 809 913

    2 872 715 465,15

    Article 1 3 0 — Total

    17 827 409 252

    17 200 276 121

    15 618 908 472,73

    CHAPTER 1 4 —   OWN RESOURCES BASED ON GROSS NATIONAL INCOME PURSUANT TO ARTICLE 2(1)(D) AND ARTICLE 6 OF DECISION 2000/597/EC, EURATOM

    1 4 0   Own resources based on gross national income pursuant to Article 2(1)(d) and Article 6 of Decision 2000/597/EC, Euratom

    1 4 0 0   Own resources based on gross national income pursuant to Article 2(1)(d) of Decision 2000/597/EC, Euratom

    Financial year 2007

    Financial year 2006

    Financial year 2005

    79 152 835 808

    68 463 215 373

    68 671 153 734,88

    The rate to be applied to the Member States’ gross national income for this financial year is 0,6769 %.

    Legal basis

    Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the Communities’ own resources (OJ L 253, 7.10.2000, p. 42), and in particular Article 2(1)(d) thereof.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    2 202 544 339

    1 924 381 059

    1 942 631 218,04

    Bulgaria

    169 710 193

     

     

    Czech Republic

    745 625 911

    622 305 186

    602 137 803,36

    Denmark

    1 529 460 881

    1 331 649 793

    1 307 789 515,9

    Germany

    15 667 955 129

    13 945 334 356

    14 363 007 141,—

    Estonia

    84 421 234

    68 671 481

    58 085 014,45

    Greece

    1 375 758 951

    1 169 141 831

    1 145 916 119,96

    Spain

    6 821 715 697

    5 822 564 320

    5 460 868 040,96

    France

    12 480 363 512

    10 902 657 745

    10 966 252 235,—

    Ireland

    1 058 186 043

    891 980 388

    855 191 236,—

    Italy

    9 935 103 187

    8 741 722 232

    8 985 652 292,04

    Cyprus

    100 147 249

    85 776 741

    83 386 815,92

    Latvia

    112 789 519

    90 146 279

    76 327 102,9

    Lithuania

    165 474 444

    137 848 774

    123 906 363,22

    Luxembourg

    176 064 494

    149 378 425

    156 403 898,96

    Hungary

    594 353 885

    526 592 529

    541 579 313,58

    Malta

    32 585 760

    28 207 249

    28 709 809,78

    Netherlands

    3 618 926 008

    3 166 194 706

    3 061 036 621,96

    Austria

    1 776 309 364

    1 552 868 093

    1 547 976 386,96

    Poland

    1 786 371 469

    1 544 996 031

    1 475 911 414,05

    Portugal

    1 045 342 747

    911 690 387

    887 642 145,96

    Romania

    696 181 084

     

     

    Slovenia

    206 378 057

    176 062 704

    177 478 585,98

    Slovakia

    307 372 726

    253 990 149

    235 654 385,92

    Finland

    1 142 767 014

    1 001 045 954

    1 004 703 855,96

    Sweden

    2 112 174 240

    1 827 849 997

    1 889 087 612,06

    United Kingdom

    13 208 752 671

    11 590 158 964

    11 693 818 804,96

    Item 1 4 0 0 — Total

    79 152 835 808

    68 463 215 373

    68 671 153 734,88

    1 4 0 2   Own resources based on gross national income pursuant to Article 2(1)(d) and Article 6 of Decision 2000/597/EC, Euratom, corresponding to the reserve for loans and loan guarantees

    Financial year 2007

    Financial year 2006

    Financial year 2005

    229 000 000

    140 445 954,14

    Legal basis

    Council Regulation (EC, Euratom) No 2728/94 of 31 October 1994 establishing a Guarantee Fund for external actions (OJ L 293, 12.11.1994, p. 1), as last amended by Regulation (EC, Euratom) No 2273/2004 (OJ L 396, 31.12.2004, p. 28).

    Council Regulation (EC, Euratom) No 1150/2000 of 22 May 2000 implementing Decision 94/728/EC, Euratom on the system of the Communities’ own resources (OJ L 130, 31.5.2000, p. 1), as amended by Regulation (EC, Euratom) No 2028/2004 (OJ L 352, 27.11.2004, p. 1).

    Council Regulation (EC) No 2040/2000 of 26 September 2000 on budgetary discipline (OJ L 244, 29.9.2000, p. 27).

    Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the European Communities’ own resources (OJ L 253, 7.10.2000, p. 42), and in particular Article 2(1)(d) and Article 6 thereof.

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1), and in particular Articles 26 and 45 thereof.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    6 436 789

    3 977 055,02

    Bulgaria

     

     

    Czech Republic

    2 081 525

    1 228 386,67

    Denmark

    4 454 185

    2 672 719,06

    Germany

    46 645 220

    29 404 689,04

    Estonia

    229 697

    118 914,44

    Greece

    3 910 618

    2 345 978,59

    Spain

    19 475 673

    11 179 770,84

    France

    36 467 884

    22 450 677,27

    Ireland

    2 983 551

    1 750 791,31

    Italy

    29 239 854

    18 395 890,73

    Cyprus

    286 911

    171 914,58

    Latvia

    301 527

    155 612,44

    Lithuania

    461 085

    253 667,59

    Luxembourg

    499 650

    320 197,84

    Hungary

    1 761 379

    1 118 691,54

    Malta

    94 349

    59 012,91

    Netherlands

    10 590 484

    6 266 711,91

    Austria

    5 194 129

    3 169 097,2

    Poland

    5 167 798

    3 005 560,23

    Portugal

    3 049 478

    1 817 226,7

    Romania

     

     

    Slovenia

    588 905

    363 500,46

    Slovakia

    849 562

    480 265,66

    Finland

    3 348 360

    2 056 881,4

    Sweden

    6 113 906

    3 795 972,13

    United Kingdom

    38 767 481

    23 886 768,58

    Item 1 4 0 2 — Total

    229 000 000

    140 445 954,14

    1 4 0 3   Own resources based on gross national income pursuant to Article 2(1)(d) and Article 6 of Decision 2000/597/EC, Euratom, corresponding to the emergency aid reserve

    Financial year 2007

    Financial year 2006

    Financial year 2005

    229 000 000

    0,—

    When the Commission considers it necessary to draw on this reserve, it convenes a three-way meeting as soon as possible in order to obtain the agreement of the two arms of the budgetary authority on the need to use the reserve and on the amount required. The reserve is drawn on by means of a transfer to the budget headings concerned.

    Legal basis

    Council Regulation (EC, Euratom) No 1150/2000 of 22 May 2000 implementing Decision 94/728/EC, Euratom on the system of the Communities’ own resources (OJ L 130, 31.5.2000, p. 1), as amended by Regulation (EC, Euratom) No 2028/2004 of 16 November 2004 (OJ L 352, 27.11.2004, p. 1).

    Council Regulation (EC) No 2040/2000 of 26 September 2000 on budgetary discipline (OJ L 244, 29.9.2000, p. 27).

    Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the European Communities’ own resources (OJ L 253, 7.10.2000, p. 42), and in particular Article 2(1)(d) and Article 6 thereof.

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1), and in particular Articles 26 and 45 thereof and in particular Articles 26 and 45 thereof.

    Reference acts

    Conclusions of the Edinburgh European Council of 11 and 12 December 1992 concerning the creation of a reserve for emergency aid.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    6 436 789

    0,—

    Bulgaria

     

     

    Czech Republic

    2 081 525

    0,—

    Denmark

    4 454 185

    0,—

    Germany

    46 645 220

    0,—

    Estonia

    229 697

    0,—

    Greece

    3 910 618

    0,—

    Spain

    19 475 673

    0,—

    France

    36 467 884

    0,—

    Ireland

    2 983 551

    0,—

    Italy

    29 239 854

    0,—

    Cyprus

    286 911

    0,—

    Latvia

    301 527

    0,—

    Lithuania

    461 085

    0,—

    Luxembourg

    499 650

    0,—

    Hungary

    1 761 379

    0,—

    Malta

    94 349

    0,—

    Netherlands

    10 590 484

    0,—

    Austria

    5 194 129

    0,—

    Poland

    5 167 798

    0,—

    Portugal

    3 049 478

    0,—

    Romania

     

     

    Slovenia

    588 905

    0,—

    Slovakia

    849 562

    0,—

    Finland

    3 348 360

    0,—

    Sweden

    6 113 906

    0,—

    United Kingdom

    38 767 481

    0,—

    Item 1 4 0 3 — Total

    229 000 000

    0,—

    CHAPTER 1 5 —   CORRECTION OF BUDGETARY IMBALANCES

    1 5 0   Correction of budgetary imbalances granted to the United Kingdom in accordance with Articles 4 and 5 of Decision 2000/597/EC, Euratom

    Financial year 2007

    Financial year 2006

    Financial year 2005

    0

    0

    – 120 333 639,94

    Legal basis

    Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the Communities’ own resources (OJ L 253, 7.10.2000, p. 42), and in particular Articles 4 and 5 thereof.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    246 671 369

    232 898 823

    253 499 702,04

    Bulgaria

    19 006 494

     

     

    Czech Republic

    83 505 499

    75 314 681

    78 784 206,90

    Denmark

    171 290 177

    161 163 335

    170 626 344,78

    Germany

    311 914 289

    296 624 626

    326 677 437,—

    Estonia

    9 454 657

    8 310 988

    7 579 685,06

    Greece

    154 076 510

    141 495 758

    149 533 989,—

    Spain

    763 990 047

    704 677 677

    712 604 846,04

    France

    1 397 723 670

    1 319 497 580

    1 431 018 735,96

    Ireland

    118 510 304

    107 952 207

    111 596 436,96

    Italy

    1 112 670 226

    1 057 969 681

    1 172 564 382,96

    Cyprus

    11 215 874

    10 381 157

    10 891 043,37

    Latvia

    12 631 730

    10 909 982

    9 955 263,87

    Lithuania

    18 532 116

    16 683 191

    16 168 908,01

    Luxembourg

    19 718 136

    18 078 571

    20 409 608,04

    Hungary

    66 563 966

    63 731 026

    70 567 374,12

    Malta

    3 649 404

    3 413 791

    3 748 006,19

    Netherlands

    72 044 802

    67 346 634

    69 621 326,04

    Austria

    35 362 386

    33 030 325

    35 207 736,—

    Poland

    200 062 577

    186 983 630

    193 428 582,21

    Portugal

    117 071 935

    110 337 616

    115 831 053,—

    Romania

    77 967 984

     

     

    Slovenia

    23 113 068

    21 308 044

    23 160 724,87

    Slovakia

    34 423 848

    30 739 238

    30 797 591,49

    Finland

    127 982 851

    121 151 901

    131 106 782,04

    Sweden

    42 048 712

    38 879 335

    42 874 874,13

    United Kingdom

    –5 251 202 631

    –4 838 879 797

    –5 308 588 280,02

    Article 1 5 0 — Total

    0

    0

    – 120 333 639,94

    TITLE 3

    SURPLUSES, BALANCES AND ADJUSTMENTS

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 3 0

    3 0 0

    Surplus available from the preceding financial year

    p.m.

    2 410 079 591

    2 736 707 563,42

    3 0 1

    Surplus own resources resulting from a transfer from the EAGGF Guarantee Section chapters

    p.m.

    p.m.

    0,—

    3 0 2

    Surplus own resources resulting from repayment of the surplus from the Guarantee Fund for external actions

    p.m.

    92 730 000

    525 961 402,07

     

    CHAPTER 3 0 — TOTAL

    p.m.

    2 502 809 591

    3 262 668 965,49

     

    CHAPTER 3 1

    3 1 0

    Application for 1989 and subsequent financial years of Article 10(4), (5), (6) and (9) of Regulation (EC, Euratom) No 1150/2000

    3 1 0 3

    Application for 1989 and subsequent years of Article 10(4), (5), (6) and (9) of Regulation (EC, Euratom) No 1150/2000

    p.m.

    –14 157 979

    399 121 900,81

     

    Article 3 1 0 — Total

    p.m.

    –14 157 979

    399 121 900,81

     

    CHAPTER 3 1 — TOTAL

    p.m.

    –14 157 979

    399 121 900,81

     

    CHAPTER 3 2

    3 2 0

    Application for 1995 and subsequent financial years of Article 10(7) to (9) of Regulation (EC, Euratom) No 1150/2000

    3 2 0 3

    Application for 1995 and subsequent financial years of Article 10(7) to (9) of Regulation (EC, Euratom) No 1150/2000

    p.m.

    1 530 237 421

    2 048 986 753,57

     

    Article 3 2 0 — Total

    p.m.

    1 530 237 421

    2 048 986 753,57

     

    CHAPTER 3 2 — TOTAL

    p.m.

    1 530 237 421

    2 048 986 753,57

     

    CHAPTER 3 3

    3 3 0

    Refunds to Greece, Spain and Portugal

    p.m.

    p.m.

    0,—

     

    CHAPTER 3 3 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 3 4

    3 4 0

    Adjustment for the impact of the non-participation of certain Member States in certain policies in the area of freedom, security and justice

    p.m.

    p.m.

    6 013,33

     

    CHAPTER 3 4 — TOTAL

    p.m.

    p.m.

    6 013,33

     

    CHAPTER 3 5

    3 5 0

    Result of the definitive calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2000 and subsequent financial years

    3 5 0 1

    Result of the definitive calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2001

    –10 330 624,84

    3 5 0 2

    Result of the definitive calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2002

    0

     

    3 5 0 3

    Result of the definitive calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2003

    p.m.

     

     

     

    Article 3 5 0 — Total

    p.m.

    0

    –10 330 624,84

     

    CHAPTER 3 5 — TOTAL

    p.m.

    0

    –10 330 624,84

     

    CHAPTER 3 6

    3 6 0

    Result of the intermediate calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2000 and subsequent financial years

    3 6 0 4

    Result of the intermediate calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2004

    p.m.

    0

     

     

    Article 3 6 0 — Total

    p.m.

    0

     

     

    CHAPTER 3 6 — TOTAL

    p.m.

    0

     

     

    Title 3 — Total

    p.m.

    4 018 889 033

    5 700 453 008,36

    CHAPTER 3 0 —

    SURPLUS AVAILABLE FROM THE PRECEDING FINANCIAL YEAR

    CHAPTER 3 1 —

    BALANCES AND ADJUSTMENT OF BALANCES BASED ON VAT FOR THE PREVIOUS FINANCIAL YEARS RESULTING FROM APPLICATION OF ARTICLE 10(4) TO (6) AND (9) OF REGULATION (EC, EURATOM) No 1150/2000

    CHAPTER 3 2 —

    BALANCES AND ADJUSTMENTS OF BALANCES BASED ON GROSS NATIONAL INCOME/PRODUCT FOR THE PREVIOUS FINANCIAL YEARS AS A RESULT OF THE APPLICATION OF ARTICLE 10(7) TO (9) OF REGULATION (EC, EURATOM) No 1150/2000

    CHAPTER 3 3 —

    REFUNDS TO MEMBER STATES

    CHAPTER 3 4 —

    ADJUSTMENT RELATING TO THE NON-PARTICIPATION OF CERTAIN MEMBER STATES IN CERTAIN POLICIES IN THE AREA OF FREEDOM, SECURITY AND JUSTICE

    CHAPTER 3 5 —

    RESULT OF THE DEFINITIVE CALCULATION OF THE FINANCING OF THE CORRECTION OF BUDGETARY IMBALANCES FOR THE UNITED KINGDOM

    CHAPTER 3 6 —

    RESULT OF THE INTERMEDIATE CALCULATION OF THE FINANCING OF THE CORRECTION OF BUDGETARY IMBALANCES FOR THE UNITED KINGDOM

    CHAPTER 3 0 —   SURPLUS AVAILABLE FROM THE PRECEDING FINANCIAL YEAR

    3 0 0   Surplus available from the preceding financial year

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    2 410 079 591

    2 736 707 563,42

    Article 15 of the Financial Regulation states that the balance from each financial year, whether surplus or deficit, is entered as revenue or expenditure in the budget of the subsequent financial year.

    The relevant estimates of such revenue or expenditure are entered in the budget during the budgetary procedure and, where appropriate, in a letter of amendment submitted pursuant to Article 34 of the Financial Regulation. They are drawn up in accordance with the principles set out in Article 15 of Regulation (EC, Euratom) No 1150/2000.

    After the closure of the accounts for each financial year, any discrepancy in relation to the estimates is entered in the budget for the following financial year through an amending budget.

    A deficit is entered in Article 27 02 01 of the statement of expenditure of Section III ‘Commission’.

    Legal basis

    Council Regulation (EC, Euratom) No 1150/2000 of 22 May 2000 implementing Decision 2000/597/EC, Euratom on the system of the Communities’ own resources (OJ L 130, 31.5.2000, p. 1), as amended by Regulation (EC, Euratom) No 2028/2004 (OJ L 352, 27.11.2004, p. 1).

    Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the European Communities’ own resources (OJ L 253, 7.10.2000, p. 42), and in particular Article 7 thereof.

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1), and in particular Article 15 thereof.

    3 0 1   Surplus own resources resulting from a transfer from the EAGGF Guarantee Section chapters

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Legal basis

    Council Regulation (EC) No 2040/2000 of 26 September 2000 on budgetary discipline (OJ L 244, 29.9.2000, p. 27), and in particular Article 12 thereof.

    Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the European Communities’ own resources (OJ L 253, 7.10.2000, p. 42), and in particular Article 7 thereof.

    3 0 2   Surplus own resources resulting from repayment of the surplus from the Guarantee Fund for external actions

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    92 730 000

    525 961 402,07

    This article is intended to receive, once the target amount has been reached, any surplus in the Guarantee Fund in accordance with Article 15 of Regulation (EC) No 2040/2000 and Article 3 of Regulation (EC, Euratom) No 2728/94.

    Legal basis

    Council Regulation (EC, Euratom) No 2728/94 of 31 October 1994 establishing a Guarantee Fund for external actions (OJ L 293, 12.11.1994, p. 1), as last amended by Regulation (EC, Euratom) No 2273/2004 (OJ L 396, 31.12.2004, p. 28).

    Council Regulation (EC) No 2040/2000 of 26 September 2000 on budgetary discipline (OJ L 244, 29.9.2000, p. 27).

    Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the European Communities’ own resources (OJ L 253, 7.10.2000, p. 42), and in particular Article 7 thereof.

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1), and in particular Article 4(3) thereof.

    Reference acts

    Commission proposal for a Council Regulation, submitted by the Commission on 5 April 2005, amending Regulation (EC, Euratom) No 2728/94, establishing a Guarantee Fund for external actions (COM(2005) 130) of 5 April 2005.

    CHAPTER 3 1 —   BALANCES AND ADJUSTMENT OF BALANCES BASED ON VAT FOR THE PREVIOUS FINANCIAL YEARS RESULTING FROM APPLICATION OF ARTICLE 10(4) TO (6) AND (9) OF REGULATION (EC, EURATOM) No 1150/2000

    3 1 0   Application for 1989 and subsequent financial years of Article 10(4), (5), (6) and (9) of Regulation (EC, Euratom) No 1150/2000

    3 1 0 3   Application for 1989 and subsequent years of Article 10(4), (5), (6) and (9) of Regulation (EC, Euratom) No 1150/2000

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    –14 157 979

    399 121 900,81

    Legal basis

    Council Regulation (EC, Euratom) No 1150/2000 of 22 May 2000 implementing Decision 2000/597/EC, Euratom on the system of the Communities’ own resources (OJ L 130, 31.5.2000, p. 1), as amended by Regulation (EC, Euratom) No 2028/2004 (OJ L 352, 27.11.2004, p. 1), and in particular Article 10(4), (5), (6) and (9) thereof.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    p.m.

    7 593 795

    23 921 369,93

    Bulgaria

     

     

    Czech Republic

    p.m.

    – 203 691

    2 419 360,97

    Denmark

    p.m.

    12 235 609

    1 423 491,50

    Germany

    p.m.

    4 934 693

    – 144 808 762,24

    Estonia

    p.m.

    2 746 788

    648 905,97

    Greece

    p.m.

    –2 083 137

    4 782 269,53

    Spain

    p.m.

    74 929 492

    276 149 526,33

    France

    p.m.

    18 907 502

    83 894 150,61

    Ireland

    p.m.

    894 019

    19 793 221,65

    Italy

    p.m.

    – 210 472 010

    75 452 340,19

    Cyprus

    p.m.

    193 586

    –30 149,92

    Latvia

    p.m.

    2 729 735

    470 059,40

    Lithuania

    p.m.

    –1 951 213

    – 591 918,03

    Luxembourg

    p.m.

    –4 003 361

    – 668 442,04

    Hungary

    p.m.

    –5 827 327

    –9 392 366,83

    Malta

    p.m.

    –6 431

    – 233 867,48

    Netherlands

    p.m.

    51 227 725

    24 369 115,10

    Austria

    p.m.

    15 168 934

    –6 270 053,66

    Poland

    p.m.

    6 158 582

    2 066 113,29

    Portugal

    p.m.

    –23 121 725

    65 792 863,40

    Romania

     

     

    Slovenia

    p.m.

    – 427 922

    358 420,11

    Slovakia

    p.m.

    4 684 923

    –3 610 153,03

    Finland

    p.m.

    6 889 024

    274 339,33

    Sweden

    p.m.

    21 704 468

    –44 961 010,57

    United Kingdom

    p.m.

    2 939 963

    27 873 077,30

    Item 3 1 0 3 — Total

    p.m.

    –14 157 979

    399 121 900,81

    CHAPTER 3 2 —   BALANCES AND ADJUSTMENTS OF BALANCES BASED ON GROSS NATIONAL INCOME/PRODUCT FOR THE PREVIOUS FINANCIAL YEARS AS A RESULT OF THE APPLICATION OF ARTICLE 10(7) TO (9) OF REGULATION (EC, EURATOM) No 1150/2000

    3 2 0   Application for 1995 and subsequent financial years of Article 10(7) to (9) of Regulation (EC, Euratom) No 1150/2000

    3 2 0 3   Application for 1995 and subsequent financial years of Article 10(7) to (9) of Regulation (EC, Euratom) No 1150/2000

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    1 530 237 421

    2 048 986 753,57

    Legal basis

    Council Regulation (EC, Euratom) No 1150/2000 of 22 May 2000 implementing Decision 2000/597/EC, Euratom on the system of the Communities’ own resources (OJ L 130, 31.5.2000, p. 1), as amended by Regulation (EC, Euratom) No 2028/2004 (OJ L 352, 27.11.2004, p. 1), and in particular Article 10(7), (8) and (9) thereof.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    p.m.

    4 653 468

    53 532 433,23

    Bulgaria

     

     

    Czech Republic

    p.m.

    –1 573 470

    11 262 547,11

    Denmark

    p.m.

    65 278 060

    –20 511 529,31

    Germany

    p.m.

    –75 160 250

    – 238 851 900,65

    Estonia

    p.m.

    11 464 052

    3 020 772,15

    Greece

    p.m.

    –8 503 579

    25 320 480,50

    Spain

    p.m.

    294 291 870

    603 226 827,85

    France

    p.m.

    103 171 217

    442 609 401,60

    Ireland

    p.m.

    20 439 779

    66 587 799,78

    Italy

    p.m.

    489 163 465

    88 842 147,98

    Cyprus

    p.m.

    768 531

    – 140 352,38

    Latvia

    p.m.

    5 351 569

    5 844 274,13

    Lithuania

    p.m.

    7 017 516

    2 710 666,45

    Luxembourg

    p.m.

    –7 109 823

    –3 111 714,89

    Hungary

    p.m.

    –4 434 001

    –1 850 757,56

    Malta

    p.m.

    8 270

    –1 088 693,22

    Netherlands

    p.m.

    324 958 979

    582 399 267,78

    Austria

    p.m.

    1 368 507

    37 746 576,74

    Poland

    p.m.

    30 445 125

    16 784 834,85

    Portugal

    p.m.

    –4 005 298

    135 846 810,67

    Romania

     

     

    Slovenia

    p.m.

    –1 740 027

    1 668 510,29

    Slovakia

    p.m.

    1 110 922

    2 669 770,62

    Finland

    p.m.

    68 241 172

    4 635 320,77

    Sweden

    p.m.

    –36 642 274

    32 236 083,16

    United Kingdom

    p.m.

    241 673 641

    197 597 175,92

    Item 3 2 0 3 — Total

    p.m.

    1 530 237 421

    2 048 986 753,57

    CHAPTER 3 3 —   REFUNDS TO MEMBER STATES

    3 3 0   Refunds to Greece, Spain and Portugal

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Article 127 of the Act of Accession of Greece provided that during the transitional period (1981 to 1985) a decreasing proportion of the GNP-based financial contributions or of the VAT own resources paid by Greece into the general budget of the European Communities should be refunded.

    Only the corrections to the VAT balances for 1981 to 1985 entered in Chapter 3 1 may lead to adjustments of the financial contributions made by Greece for the years in question.

    Articles 187 and 374 of the Act of Accession of Spain and Portugal provided that during the transitional period (1986 to 1991) a decreasing proportion of the VAT own resources or of the GNP-based financial contributions paid by Spain and Portugal into the general budget, but not including their share in financing the United Kingdom’s rebate, should be refunded.

    With effect from 1988, Spain and Portugal also receive a refund of a proportion of their payments in respect of the additional resource and their share in financing the United Kingdom’s rebate.

    Only the adjustments to the VAT and GNP bases for 1986 to 1991 entered in Chapters 3 1 and 3 2 may lead to positive or negative refunds to Spain and Portugal.

    Legal basis

    Council Decision 94/728/EC, Euratom of 31 October 1994 on the system of the Communities’ own resources (OJ L 293, 12.11.1994, p. 9), and in particular Article 9 thereof.

    Reference acts

    Act of 28 May 1979 concerning the conditions of accession of the Hellenic Republic and the adjustments to the Treaties (OJ L 291, 19.11.1979, p. 17).

    Act of 12 June 1985 concerning the conditions of accession of the Kingdom of Spain and the Portuguese Republic and the adjustments to the Treaties (OJ L 302, 15.11.1985, p. 23).

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Greece

    p.m.

    p.m.

    0,—

    Spain

    p.m.

    p.m.

    0,—

    Portugal

    p.m.

    p.m.

    0,—

    Article 3 3 0 — Total

    p.m.

    p.m.

    0,—

    CHAPTER 3 4 —   ADJUSTMENT RELATING TO THE NON-PARTICIPATION OF CERTAIN MEMBER STATES IN CERTAIN POLICIES IN THE AREA OF FREEDOM, SECURITY AND JUSTICE

    3 4 0   Adjustment for the impact of the non-participation of certain Member States in certain policies in the area of freedom, security and justice

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    6 013,33

    Legal basis

    Council Regulation (EC, Euratom) No 2028/2004 of 16 November 2004 (OJ L 352, 27.11.2004, p. 1), and in particular Article 1(6) that inserted Article 10a in the Regulation (EC, Euratom) No 1150/2000.

    Reference acts

    Protocol on the position of Denmark and Protocol on the position of the United Kingdom and Ireland on justice and home affairs policy annexed to the Treaty of Amsterdam, and in particular Articles 3 and 5, respectively, thereof.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    p.m.

    p.m.

    20 239,98

    Bulgaria

     

     

    Czech Republic

    p.m.

    p.m.

    4 234,69

    Denmark

    p.m.

    p.m.

    – 689 845,17

    Germany

    p.m.

    p.m.

    152 863,48

    Estonia

    p.m.

    p.m.

    389,76

    Greece

    p.m.

    p.m.

    11 704,86

    Spain

    p.m.

    p.m.

    57 205,33

    France

    p.m.

    p.m.

    115 418,14

    Ireland

    p.m.

    p.m.

    8 699,62

    Italy

    p.m.

    p.m.

    93 972,67

    Cyprus

    p.m.

    p.m.

    572,12

    Latvia

    p.m.

    p.m.

    488,30

    Lithuania

    p.m.

    p.m.

    820,62

    Luxembourg

    p.m.

    p.m.

    1 512,03

    Hungary

    p.m.

    p.m.

    3 543,95

    Malta

    p.m.

    p.m.

    195,71

    Netherlands

    p.m.

    p.m.

    33 912,26

    Austria

    p.m.

    p.m.

    16 277,40

    Poland

    p.m.

    p.m.

    10 387,77

    Portugal

    p.m.

    p.m.

    9 728,43

    Romania

     

     

    Slovenia

    p.m.

    p.m.

    1 194,16

    Slovakia

    p.m.

    p.m.

    1 580,49

    Finland

    p.m.

    p.m.

    10 375,45

    Sweden

    p.m.

    p.m.

    18 954,07

    United Kingdom

    p.m.

    p.m.

    121 587,21

    Article 3 4 0 — Total

    p.m.

    p.m.

    6 013,33

    CHAPTER 3 5 —   RESULT OF THE DEFINITIVE CALCULATION OF THE FINANCING OF THE CORRECTION OF BUDGETARY IMBALANCES FOR THE UNITED KINGDOM

    3 5 0   Result of the definitive calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2000 and subsequent financial years

    3 5 0 1   Result of the definitive calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2001

    Financial year 2007

    Financial year 2006

    Financial year 2005

    –10 330 624,84

    Result of the definitive calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2001.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    –25 912 107,96

    Czech Republic

    0,—

    Denmark

    –22 137 967,61

    Germany

    43 247 739,96

    Estonia

    0,—

    Greece

    –7 296 005,04

    Spain

    –27 475 803,—

    France

    –1 102 158,—

    Ireland

    –4 635 083,04

    Italy

    –64 555 998,96

    Cyprus

    0,—

    Latvia

    0,—

    Lithuania

    0,—

    Luxembourg

    – 530 540,04

    Hungary

    0,—

    Malta

    0,—

    Netherlands

    –14 562 204,—

    Austria

    5 119 497,—

    Poland

    0,—

    Portugal

    –5 879 918,04

    Slovenia

    0,—

    Slovakia

    0,—

    Finland

    –4 450 593,—

    Sweden

    –2 953 280,89

    United Kingdom

    122 793 797,78

    Item 3 5 0 1 — Total

    –10 330 624,84

    3 5 0 2   Result of the definitive calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2002

    Financial year 2007

    Financial year 2006

    Financial year 2005

    0

     

    Result of the definitive calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2002.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    11 155 649

     

    Czech Republic

     

    Denmark

    2 073 346

     

    Germany

    82 380 532

     

    Estonia

     

    Greece

    5 391 985

     

    Spain

    54 405 942

     

    France

    70 341 489

     

    Ireland

    7 696 530

     

    Italy

    – 180 319 676

     

    Cyprus

     

    Latvia

     

    Lithuania

     

    Luxembourg

    1 585 064

     

    Hungary

     

    Malta

     

    Netherlands

    26 630 560

     

    Austria

    38 174 612

     

    Poland

     

    Portugal

    6 760 365

     

    Slovenia

     

    Slovakia

     

    Finland

    –11 440 067

     

    Sweden

    – 407 201

     

    United Kingdom

    – 114 429 130

     

    Item 3 5 0 2 — Total

     

    3 5 0 3   Result of the definitive calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2003

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New item

    Result of the definitive calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2003.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    p.m.

     

     

    Bulgaria

     

     

    Czech Republic

    p.m.

     

     

    Denmark

    p.m.

     

     

    Germany

    p.m.

     

     

    Estonia

    p.m.

     

     

    Greece

    p.m.

     

     

    Spain

    p.m.

     

     

    France

    p.m.

     

     

    Ireland

    p.m.

     

     

    Italy

    p.m.

     

     

    Cyprus

    p.m.

     

     

    Latvia

    p.m.

     

     

    Lithuania

    p.m.

     

     

    Luxembourg

    p.m.

     

     

    Hungary

    p.m.

     

     

    Malta

    p.m.

     

     

    Netherlands

    p.m.

     

     

    Austria

    p.m.

     

     

    Poland

    p.m.

     

     

    Portugal

    p.m.

     

     

    Romania

     

     

    Slovenia

    p.m.

     

     

    Slovakia

    p.m.

     

     

    Finland

    p.m.

     

     

    Sweden

    p.m.

     

     

    United Kingdom

    p.m.

     

     

    Item 3 5 0 3 — Total

    p.m.

     

     

    CHAPTER 3 6 —   RESULT OF THE INTERMEDIATE CALCULATION OF THE FINANCING OF THE CORRECTION OF BUDGETARY IMBALANCES FOR THE UNITED KINGDOM

    3 6 0   Result of the intermediate calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2000 and subsequent financial years

    3 6 0 4   Result of the intermediate calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2004

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    0

     

    Result of the intermediate calculation of the financing of the correction of budgetary imbalances for the United Kingdom in respect of the financial year 2004.

    Member State

    Budget 2007

    Budget 2006

    Outturn 2005

    Belgium

    p.m.

    5 097 028

     

    Bulgaria

     

     

    Czech Republic

    p.m.

    3 110 407

     

    Denmark

    p.m.

    5 497 985

     

    Germany

    p.m.

    1 529 213

     

    Estonia

    p.m.

    888 155

     

    Greece

    p.m.

    2 079 688

     

    Spain

    p.m.

    46 223 069

     

    France

    p.m.

    30 231 336

     

    Ireland

    p.m.

    5 013 658

     

    Italy

    p.m.

    128 693 215

     

    Cyprus

    p.m.

    342 735

     

    Latvia

    p.m.

    717 885

     

    Lithuania

    p.m.

    4 726 384

     

    Luxembourg

    p.m.

    – 767 015

     

    Hungary

    p.m.

    55 755

     

    Malta

    p.m.

    33 192

     

    Netherlands

    p.m.

    8 847 182

     

    Austria

    p.m.

    170 410

     

    Poland

    p.m.

    10 597 556

     

    Portugal

    p.m.

    7 732 582

     

    Romania

     

     

    Slovenia

    p.m.

    120 693

     

    Slovakia

    p.m.

    2 154 896

     

    Finland

    p.m.

    1 940 598

     

    Sweden

    p.m.

    –10 692 010

     

    United Kingdom

    p.m.

    – 254 344 597

     

    Item 3 6 0 4 — Total

    p.m.

    0

     

    TITLE 4

    REVENUE ACCRUING FROM PERSONS WORKING WITH THE INSTITUTIONS AND WITH OTHER COMMUNITY BODIES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 4 0

    4 0 0

    Proceeds of the tax on the salaries, wages and allowances of Members of the institutions, officials, other servants and persons in receipt of a pension, and members of the governing bodies of the European Investment Bank, the European Central Bank, the European Investment Fund, their staff and persons in receipt of a pension

    505 658 114

    578 702 746

    421 612 097,88

    4 0 3

    Proceeds of the temporary contribution from the salaries of members of the institutions, officials and other servants in active employment

    p.m.

    p.m.

    688 926,35

    4 0 4

    Proceeds from the special levy on the salaries of members of the institutions, officials and other servants in active employment

    35 888 144

    28 427 082

    23 307 114,15

     

    CHAPTER 4 0 — TOTAL

    541 546 258

    607 129 828

    445 608 138,38

     

    CHAPTER 4 1

    4 1 0

    Staff contributions to the pension scheme

    330 817 333

    353 685 166

    251 614 943,09

    4 1 1

    Transfer or purchase of pension rights by staff

    66 986 176

    63 493 513

    79 744 516,92

    4 1 2

    Contribution to the pensions scheme by officials and temporary staff on leave on personal grounds

    105 000

    105 000

    5 255,45

     

    CHAPTER 4 1 — TOTAL

    397 908 509

    417 283 679

    331 364 715,46

     

    CHAPTER 4 2

    4 2 0

    Employer's contribution by the decentralised agencies to the pension scheme

    9 332 889

    9 105 133

    7 100 696,02

    4 2 1

    Contributions by members of the European Parliament to a pension scheme

    1 545 000

    1 386 000

    1 576 856,09

     

    CHAPTER 4 2 — TOTAL

    10 877 889

    10 491 133

    8 677 552,11

     

    Title 4 — Total

    950 332 656

    1 034 904 640

    785 650 405,95

    CHAPTER 4 0 —

    MISCELLANEOUS TAXES AND DEDUCTIONS

    CHAPTER 4 1 —

    CONTRIBUTIONS TO THE PENSION SCHEME

    CHAPTER 4 2 —

    OTHER CONTRIBUTIONS TO THE PENSION SCHEME

    CHAPTER 4 0 —   MISCELLANEOUS TAXES AND DEDUCTIONS

    4 0 0   Proceeds of the tax on the salaries, wages and allowances of Members of the institutions, officials, other servants and persons in receipt of a pension, and members of the governing bodies of the European Investment Bank, the European Central Bank, the European Investment Fund, their staff and persons in receipt of a pension

    Financial year 2007

    Financial year 2006

    Financial year 2005

    505 658 114

    578 702 746

    421 612 097,88

    Legal basis

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    Protocol on the privileges and immunities of the European Communities, and in particular Article 13 thereof.

    Council Regulation No 422/67/EEC, No 5/67/Euratom of 25 July 1967 determining the emoluments of the President and Members of the Commission, and of the President, Judges, Advocates General and Registrar of the Court of Justice and of the President, Members and Registrar of the Court of First Instance as well as the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    Council Regulation (EEC, Euratom, ECSC) No 260/68 of 29 February 1968 laying down the conditions and procedure for applying the tax for the benefit of the European Communities (OJ L 56, 4.3.1968, p. 8), as last amended by Regulation (EC, Euratom) No 1750/2002 (OJ L 264, 2.10.2002, p. 15).

    Council Regulation (ECSC, EEC, Euratom) No 1860/76 of 29 June 1976 laying down the conditions of employment of staff of the European Foundation for the Improvement of Living and Working Conditions (OJ L 214, 6.8.1976, p. 24), as last amended by Regulation (Euratom, ECSC, EEC) No 680/87 (OJ L 72, 14.3.1987, p. 15).

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26).

    Parliament

     

    33 571 460

    Council

     

    25 416 000

    Commission:

     

    371 892 646

    — administration

    (300 317 000 )

     

    — research and technological development

    (42 777 000 )

     

    — European Personnel Selection Office

    (2 116 000 )

     

    — European Anti-fraud Office

    (2 018 000 )

     

    — Infrastructure and Logistics Office in Brussels

    (2 036 000 )

     

    — Infrastructure and Logistics Office in Luxembourg

    (962 000 )

     

    — Office for Administration and Payment of Individual Entitlements

    (1 247 000 )

     

    — Publications Office

    (2 834 000 )

     

    — Community Fisheries Control Agency

    (182 210 )

     

    — Community Plant Variety Office

    (275 146 )

     

    — Eurojust

    (277 406 )

     

    — European Medical Agency

    (2 985 084 )

     

    — European Agency for Networks and Information Security

    (69 688 )

     

    — European Agency for Reconstruction

    (830 174 )

     

    — European Agency for Safety and Health at Work

    (188 192 )

     

    — European Agency for the Management of Operational Cooperation at the External Borders

    (22 346 )

     

    — European Aviation Safety Agency

    (1 948 435 )

     

    — European Centre for Disease Prevention and Control

    (212 473 )

     

    — European Centre for the Development of Vocational Training

    (531 242 )

     

    — European Chemicals Agency

    (484 294 )

     

    — European Environment Agency

    (839 988 )

     

    — European Food Safety Authority

    (968 172 )

     

    — European Foundation for the Improvement of Living and Working Conditions

    (515 267 )

     

    — European Joint Undertaking ITER

    (491 486 )

     

    — European Maritime Safety Agency

    (518 452 )

     

    — European Monitoring Centre for Drugs and Drug Addiction

    (375 501 )

     

    — European Monitoring Centre on Racism and Xenophobia

    (287 620 )

     

    — European Police College

    (107 888 )

     

    — European Railway Agency

    (166 789 )

     

    — European Training Foundation

    (726 052 )

     

    — Education, Audiovisual and Culture Executive Agency

    (25 928 )

     

    — Executive Agency for Intelligent Energy

    (104 969 )

     

    — Executive Agency for the Public Health Programme

    (43 157 )

     

    — Executive Agency for Trans-European Networks

    (110 286 )

     

    — Executive Agency implementing the ERC

    (383 599 )

     

    — Galileo Supervisory Authority

    (15 934 )

     

    — Gender Institute

    (71 925 )

     

    — Office for Harmonization in the Internal Market

    (2 983 536 )

     

    — Translation Centre for the bodies of the European Union

    (842 407 )

     

    Court of Justice

     

    19 808 000

    Court of Auditors

     

    9 195 000

    European Economic and Social Committee

     

    4 337 271

    Committee of the Regions

     

    2 476 652

    Ombudsman

     

    520 085

    European Data-protection Supervisor

     

    291 000

    European Investment Bank

     

    26 730 000

    European Central Bank

     

    10 400 000

    European Investment Fund

     

    1 020 000

     

    Total

    505 658 114

    4 0 3   Proceeds of the temporary contribution from the salaries of members of the institutions, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    688 926,35

    Legal basis

    Staff Regulations of officials of the European Communities.

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and Members of the Commission, and of the President, Judges, Advocates General and Registrar of the Court of Justice and of the President, Members and Registrar of the Court of First Instance as well as the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26).

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission:

     

    p.m.

    — administration

    (p.m.)

     

    — research and technological development

    (p.m.)

     

    — European Personnel Selection Office

    (p.m.)

     

    — European Anti-fraud Office

    (p.m.)

     

    — Infrastructure and Logistics Office in Brussels

    (p.m.)

     

    — Infrastructure and Logistics Office in Luxembourg

    (p.m.)

     

    — Office for Administration and Payment of Individual Entitlements

    (p.m.)

     

    — Publications Office

    (p.m.)

     

    — Community Plant Variety Office

    (p.m.)

     

    — Eurojust

    (p.m.)

     

    — European Agency for Reconstruction

    (p.m.)

     

    — European Agency for Safety and Health at Work

    (p.m.)

     

    — European Medical Agency

    (p.m.)

     

    — European Aviation Safety Agency

    (p.m.)

     

    — European Centre for the Development of Vocational Training

    (p.m.)

     

    — European Environment Agency

    (p.m.)

     

    — European Food Safety Authority

    (p.m.)

     

    — European Foundation for the Improvement of Living and Working Conditions

    (p.m.)

     

    — European Maritime Safety Agency

    (p.m.)

     

    — European Monitoring Centre for Drugs and Drug Addiction

    (p.m.)

     

    — European Monitoring Centre on Racism and Xenophobia

    (p.m.)

     

    — European Training Foundation

    (p.m.)

     

    — Office for Harmonization in the Internal Market

    (p.m.)

     

    — Translation Centre for the bodies of the European Union

    (p.m.)

     

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    4 0 4   Proceeds from the special levy on the salaries of members of the institutions, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    35 888 144

    28 427 082

    23 307 114,15

    Legal basis

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    Council Regulation No 422/67/EEC, No 5/67/Euratom of 25 July 1967 determining the emoluments of the President and Members of the Commission, and of the President, Judges, Advocates General and Registrar of the Court of Justice and of the President, Members and Registrar of the Court of First Instance as well as the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26).

    Parliament

     

    7 598 618

    Council

     

    1 408 000

    Commission:

     

    23 560 995

    — administration

    (16 896 000 )

     

    — research and technological development

    (4 216 000 )

     

    — European Anti-fraud Office

    (208 000 )

     

    — European Personnel Selection Office

    (43 000 )

     

    — Infrastructure and Logistics Office in Brussels

    (198 000 )

     

    — Infrastructure and Logistics Office in Luxembourg

    (86 000 )

     

    — Office for Administration and Payment of Individual Entitlements

    (135 000 )

     

    — Publications Office

    (308 000 )

     

    — Community Fisheries Control Agency

    (15 242 )

     

    — Community Plant Variety Office

    (17 871 )

     

    — Eurojust

    (17 349 )

     

    — European Agency for Networks and Information Security

    (7 290 )

     

    — European Agency for Reconstruction

    (82 851 )

     

    — European Agency for Safety and Health at Work

    (17 535 )

     

    — European Medical Agency

    (190 087 )

     

    — European Agency for the management of operational cooperation at the external borders

    (2 377 )

     

    — European Aviation Safety Agency

    (180 001 )

     

    — European Centre for Disease Prevention and Control

    (16 832 )

     

    — European Centre for the Development of Vocational Training

    (51 053 )

     

    — European Chemicals Agency

    (40 509 )

     

    — European Environment Agency

    (64 188 )

     

    — European Food Safety Authority

    (88 799 )

     

    — European Foundation for the Improvement of Living and Working Conditions

    (39 297 )

     

    — European Joint Undertaking ITER

    (41 111 )

     

    — European Maritime Safety Agency

    (49 614 )

     

    — European Monitoring Centre for Drugs and Drug Addiction

    (42 258 )

     

    — European Monitoring Centre on Racism and Xenophobia

    (25 040 )

     

    — European Police College

    (9 025 )

     

    — European Railway Agency

    (15 543 )

     

    — European Training Foundation

    (64 151 )

     

    — Education, Audiovisual and Culture Executive Agency

    (2 474 )

     

    — Executive Agency for Intelligent Energy

    (8 027 )

     

    — Executive Agency for the Public Health Programme

    (3 612 )

     

    — Executive Agency for Trans-European Networks

    (9 226 )

     

    — Executive Agency implementing the ERC

    (32 086 )

     

    — Galileo Supervisory Authority

    (1 417 )

     

    — Gender Institute

    (6 016 )

     

    — Office for Harmonization in the Internal Market

    (246 526 )

     

    — Translation Centre for the bodies of the European Union

    (83 588 )

     

    Court of Justice

     

    1 731 000

    Court of Auditors

     

    830 000

    European Economic and Social Committee

     

    485 763

    Committee of the Regions

     

    216 300

    Ombudsman

     

    30 468

    European Data-protection Supervisor

     

    27 000

     

    Total

    35 888 144

    CHAPTER 4 1 —   CONTRIBUTIONS TO THE PENSION SCHEME

    4 1 0   Staff contributions to the pension scheme

    Financial year 2007

    Financial year 2006

    Financial year 2005

    330 817 333

    353 685 166

    251 614 943,09

    Legal basis

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    Council Regulation (ECSC, EEC, Euratom) No 1860/76 of 29 June 1976 laying down the conditions of employment of staff of the European Foundation for the Improvement of Living and Working Conditions (OJ L 214, 6.8.1976, p. 1), as last amended by Regulation (Euratom, ECSC, EEC) No 680/87 (OJ L 72, 14.3.1987, p. 15).

    Parliament

     

    36 407 938

    Council

     

    25 220 000

    Commission:

     

    241 474 377

    — administration

    (168 163 000 )

     

    — research and technological development

    (42 847 000 )

     

    — European Anti-fraud Office

    (2 034 000 )

     

    — European Personnel Selection Office

    (778 000 )

     

    — Infrastructure and Logistics Office in Brussels

    (3 275 000 )

     

    — Infrastructure and Logistics Office in Luxembourg

    (1 235 000 )

     

    — Office for Administration and Payment of Individual Entitlements

    (2 111 000 )

     

    — Publications Office

    (3 861 000 )

     

    — Community Fisheries Control Agency

    (177 936 )

     

    — Community Plant Variety Office

    (227 477 )

     

    — Eurojust

    (369 766 )

     

    — European Agency for Networks and Information Security

    (84 078 )

     

    — European Agency for Reconstruction

    (773 692 )

     

    — European Agency for Safety and Health at Work

    (213 343 )

     

    — European Medical Agency

    (2 226 440 )

     

    — European Agency for the management of operational cooperation at the external borders

    (9 156 )

     

    — European Aviation Safety Agency

    (1 763 446 )

     

    — European Centre for Disease Prevention and Control

    (85 005 )

     

    — European Centre for the Development of Vocational Training

    (645 347 )

     

    — European Chemicals Agency

    (472 008 )

     

    — European Environment Agency

    (735 503 )

     

    — European Food Safety Authority

    (930 338 )

     

    — European Foundation for the Improvement of Living and Working Conditions

    (515 234 )

     

    — European Joint Undertaking ITER

    (479 018 )

     

    — European Maritime Safety Agency

    (498 497 )

     

    — European Monitoring Centre for Drugs and Drug Addiction

    (439 202 )

     

    — European Monitoring Centre on Racism and Xenophobia

    (288 494 )

     

    — European Police College

    (105 357 )

     

    — European Railway Agency

    (179 344 )

     

    — European Training Foundation

    (678 840 )

     

    — Education, Audiovisual and Culture Executive Agency

    (19 916 )

     

    — Executive Agency for Intelligent Energy

    (142 545 )

     

    — Executive Agency for the Public Health Programme

    (42 145 )

     

    — Executive Agency for Trans-European Networks

    (107 700 )

     

    — Executive Agency implementing the ERC

    (373 868 )

     

    — Galileo Supervisory Authority

    (10 679 )

     

    — Gender Institute

    (70 100 )

     

    — Office for Harmonization in the Internal Market

    (3 493 473 )

     

    — Translation Centre for the bodies of the European Union

    (1 012 430 )

     

    Court of Justice

     

    13 395 000

    Court of Auditors

     

    6 136 000

    European Economic and Social Committee

     

    4 844 397

    Committee of the Regions

     

    2 752 194

    Ombudsman

     

    389 427

    European Data-protection Supervisor

     

    198 000

     

    Total

    330 817 333

    4 1 1   Transfer or purchase of pension rights by staff

    Financial year 2007

    Financial year 2006

    Financial year 2005

    66 986 176

    63 493 513

    79 744 516,92

    Legal basis

    Staff Regulations of officials of the European Communities.

    Parliament

     

    3 936 176

    Council

     

    p.m.

    Commission

     

    62 300 000

    Court of Justice

     

    250 000

    Court of Auditors

     

    500 000

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    66 986 176

    4 1 2   Contribution to the pensions scheme by officials and temporary staff on leave on personal grounds

    Financial year 2007

    Financial year 2006

    Financial year 2005

    105 000

    105 000

    5 255,45

    Legal basis

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    Parliament

     

    5 000

    Council

     

    p.m.

    Commission

     

    100 000

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    105 000

    CHAPTER 4 2 —   OTHER CONTRIBUTIONS TO THE PENSION SCHEME

    4 2 0   Employer's contribution by the decentralised agencies to the pension scheme

    Financial year 2007

    Financial year 2006

    Financial year 2005

    9 332 889

    9 105 133

    7 100 696,02

    Legal basis

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    Commission

     

    9 332 889

    4 2 1   Contributions by members of the European Parliament to a pension scheme

    Financial year 2007

    Financial year 2006

    Financial year 2005

    1 545 000

    1 386 000

    1 576 856,09

    Rules governing the payment of expenses and allowances to members of the European Parliament, and in particular Annex III thereto.

    Parliament

     

    1 545 000

    TITLE 5

    REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 5 0

    5 0 0

    Proceeds from the sale of movable property (supply of goods)

    5 0 0 0

    Proceeds from the sale of vehicles — Assigned revenue

    42 000

    p.m.

    292 580,71

    5 0 0 1

    Proceeds from the sale of other movable property — Assigned revenue

    p.m.

    p.m.

    1 500,—

    5 0 0 2

    Proceeds from the supply of goods to other institutions or bodies — Assigned revenue

    p.m.

    p.m.

    312 623,76

     

    Article 5 0 0 — Total

    42 000

    p.m.

    606 704,47

    5 0 1

    Proceeds from the sale of immovable property

    p.m.

    p.m.

    0,—

    5 0 2

    Proceeds from the sale of publications, printed works and films — Assigned revenue

    350 000

    241 000

    16 942 960,51

     

    CHAPTER 5 0 — TOTAL

    392 000

    241 000

    17 549 664,98

     

    CHAPTER 5 1

    5 1 0

    Proceeds from the hiring-out of furniture and equipment — Assigned revenue

    p.m.

    p.m.

    0,—

    5 1 1

    Proceeds from letting and subletting immovable property and reimbursement of charges connected with lettings

    5 1 1 0

    Proceeds from letting and subletting immovable property — Assigned revenue

    p.m.

    p.m.

    13 567 815,06

    5 1 1 1

    Reimbursement of charges connected with lettings — Assigned revenue

    p.m.

    p.m.

    623 095,—

     

    Article 5 1 1 — Total

    p.m.

    p.m.

    14 190 910,06

     

    CHAPTER 5 1 — TOTAL

    p.m.

    p.m.

    14 190 910,06

     

    CHAPTER 5 2

    5 2 0

    Revenue from investments or loans granted, bank and other interest on the institutions’ accounts

    9 054 000

    7 289 000

    9 614 521,71

    5 2 1

    Revenue from investments or loans granted, bank and other interest on the accounts of organisations receiving subsidies transferred to the Commission

    10 000 000

    20 000 000

    8 160 346,07

    5 2 2

    Interest yielded by prefinancing

    60 000 000

    50 000 000

    26 740 944,55

     

    CHAPTER 5 2 — TOTAL

    79 054 000

    77 289 000

    44 515 812,33

     

    CHAPTER 5 5

    5 5 0

    Proceeds from the supply of services and works for other institutions or bodies, including refunds by other institutions or bodies of mission allowances paid on their behalf — Assigned revenue

    1 000 000

    p.m.

    5 228 270,05

    5 5 1

    Revenue from third parties in respect of services or work supplied at their request — Assigned revenue

    p.m.

    p.m.

    221 911,39

     

    CHAPTER 5 5 — TOTAL

    1 000 000

    p.m.

    5 450 181,44

     

    CHAPTER 5 7

    5 7 0

    Revenue arising from the repayment of amounts wrongly paid — Assigned revenue

    p.m.

    p.m.

    12 133 433,09

    5 7 1

    Revenue earmarked for a specific purpose, such as income from foundations, subsidies, gifts and bequests, including the earmarked revenue specific to each institution — Assigned revenue

    p.m.

    p.m.

    589,18

    5 7 2

    Repayment of welfare expenditure incurred on behalf of another institution

    p.m.

    p.m.

    4 811 608,46

    5 7 3

    Other contributions and refunds in connection with the administrative operation of the institution — Assigned revenue

    p.m.

    1 000 000

    76 209 450,31

     

    CHAPTER 5 7 — TOTAL

    p.m.

    1 000 000

    93 155 081,04

     

    CHAPTER 5 8

    5 8 0

    Revenue from payments connected with lettings — Assigned revenue

    p.m.

    p.m.

    813 261,90

    5 8 1

    Revenue from insurance payments received — Assigned revenue

    p.m.

    p.m.

    1 151 389,94

    5 8 3

    Revenue from miscellaneous compensation — Assigned revenue

    33 452,04

     

    CHAPTER 5 8 — TOTAL

    p.m.

    p.m.

    1 998 103,88

     

    CHAPTER 5 9

    5 9 0

    Other revenue from administrative operations

    100 000

    100 000

    289 708,77

     

    CHAPTER 5 9 — TOTAL

    100 000

    100 000

    289 708,77

     

    Title 5 — Total

    80 546 000

    78 630 000

    177 149 462,50

    CHAPTER 5 0 —

    PROCEEDS FROM THE SALE OF MOVABLE PROPERTY (SUPPLY OF GOODS) AND IMMOVABLE PROPERTY

    CHAPTER 5 1 —

    PROCEEDS FROM LETTING AND HIRING

    CHAPTER 5 2 —

    REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST

    CHAPTER 5 5 —

    REVENUE FROM THE SUPPLY OF SERVICES AND WORKS

    CHAPTER 5 7 —

    OTHER CONTRIBUTIONS AND REFUNDS CONNECTED WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS

    CHAPTER 5 8 —

    MISCELLANEOUS COMPENSATION

    CHAPTER 5 9 —

    OTHER REVENUE FROM ADMINISTRATIVE OPERATIONS

    CHAPTER 5 0 —   PROCEEDS FROM THE SALE OF MOVABLE PROPERTY (SUPPLY OF GOODS) AND IMMOVABLE PROPERTY

    5 0 0   Proceeds from the sale of movable property (supply of goods)

    5 0 0 0   Proceeds from the sale of vehicles — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    42 000

    p.m.

    292 580,71

    This item is intended to record revenue from the sale or part-exchange of vehicles belonging to the institutions.

    In accordance with Article 18(1)(e) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    42 000

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    42 000

    5 0 0 1   Proceeds from the sale of other movable property — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    1 500,—

    This item is intended to record revenue from the sale or part-exchange of movable property, other than vehicles, belonging to the institutions.

    In accordance with Article 18(1)(e) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    5 0 0 2   Proceeds from the supply of goods to other institutions or bodies — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    312 623,76

    In accordance with Article 18(1)(g) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    5 0 1   Proceeds from the sale of immovable property

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    This article is intended to record revenue from the sale of immovable property belonging to the institutions.

    5 0 2   Proceeds from the sale of publications, printed works and films — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    350 000

    241 000

    16 942 960,51

    In accordance with Article 18(1)(j) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    This article also contains revenue from the sale of such products on an electronic medium.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    150 000

    European Economic and Social Committee

     

    200 000

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    350 000

    CHAPTER 5 1 —   PROCEEDS FROM LETTING AND HIRING

    5 1 0   Proceeds from the hiring-out of furniture and equipment — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    In accordance with Article 18(1)(e) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    5 1 1   Proceeds from letting and subletting immovable property and reimbursement of charges connected with lettings

    5 1 1 0   Proceeds from letting and subletting immovable property — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    13 567 815,06

    In accordance with Article 18(1)(e) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    5 1 1 1   Reimbursement of charges connected with lettings — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    623 095,—

    In accordance with Article 18(1)(e) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    CHAPTER 5 2 —   REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST

    5 2 0   Revenue from investments or loans granted, bank and other interest on the institutions’ accounts

    Financial year 2007

    Financial year 2006

    Financial year 2005

    9 054 000

    7 289 000

    9 614 521,71

    This article is intended to record revenue from investments or loans granted, bank and other interest on the institution's accounts.

    Parliament

     

    1 800 000

    Council

     

    p.m.

    Commission

     

    7 000 000

    Court of Justice

     

    90 000

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    64 000

    Committee of the Regions

     

    100 000

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    9 054 000

    5 2 1   Revenue from investments or loans granted, bank and other interest on the accounts of organisations receiving subsidies transferred to the Commission

    Financial year 2007

    Financial year 2006

    Financial year 2005

    10 000 000

    20 000 000

    8 160 346,07

    This article is intended to record revenue from investments or loans granted, bank and other interest on the accounts of organisations receiving subsidies transferred to the Commission.

    Commission

     

    10 000 000

    5 2 2   Interest yielded by prefinancing

    Financial year 2007

    Financial year 2006

    Financial year 2005

    60 000 000

    50 000 000

    26 740 944,55

    This article is intended to record revenue from the interest yielded by prefinancing.

    Commission

     

    60 000 000

    CHAPTER 5 5 —   REVENUE FROM THE SUPPLY OF SERVICES AND WORKS

    5 5 0   Proceeds from the supply of services and works for other institutions or bodies, including refunds by other institutions or bodies of mission allowances paid on their behalf — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    1 000 000

    p.m.

    5 228 270,05

    In accordance with Article 18(1)(g) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    1 000 000

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    1 000 000

    5 5 1   Revenue from third parties in respect of services or work supplied at their request — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    221 911,39

    In accordance with Article 18(1)(e) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    CHAPTER 5 7 —   OTHER CONTRIBUTIONS AND REFUNDS CONNECTED WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS

    5 7 0   Revenue arising from the repayment of amounts wrongly paid — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    12 133 433,09

    In accordance with Article 18(1)(f) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    5 7 1   Revenue earmarked for a specific purpose, such as income from foundations, subsidies, gifts and bequests, including the earmarked revenue specific to each institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    589,18

    In accordance with Article 18(1)(c) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    5 7 2   Repayment of welfare expenditure incurred on behalf of another institution

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    4 811 608,46

    This article is intended to record revenue from the repayment of welfare expenditure incurred on behalf of another institution.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    5 7 3   Other contributions and refunds in connection with the administrative operation of the institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    1 000 000

    76 209 450,31

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission:

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    CHAPTER 5 8 —   MISCELLANEOUS COMPENSATION

    5 8 0   Revenue from payments connected with lettings — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    813 261,90

    In accordance with Article 18(1)(i) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    5 8 1   Revenue from insurance payments received — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    1 151 389,94

    In accordance with Article 18(1)(h) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    This article is also intended to record revenue arising from reimbursement by insurance companies of the salaries of officials involved in accidents.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    p.m.

    5 8 3   Revenue from miscellaneous compensation — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    33 452,04

    Execution of former Article 5 8 0.

    CHAPTER 5 9 —   OTHER REVENUE FROM ADMINISTRATIVE OPERATIONS

    5 9 0   Other revenue from administrative operations

    Financial year 2007

    Financial year 2006

    Financial year 2005

    100 000

    100 000

    289 708,77

    This article is also intended to record other revenue from administrative operations.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    100 000

    Court of Justice

     

    p.m.

    Court of Auditors

     

    p.m.

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    100 000

    TITLE 6

    CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH COMMUNITY AGREEMENTS AND PROGRAMMES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 6 0

    6 0 1

    Miscellaneous research programmes

    6 0 1 1

    Switzerland/Euratom cooperation agreements on controlled thermonuclear fusion and plasma physics — Assigned revenue

    p.m.

    p.m.

    0,—

    6 0 1 2

    European fusion development agreements (EFDA) — Assigned revenue

    p.m.

    p.m.

    23 786 996,—

    6 0 1 3

    Cooperation agreements with non-member countries under Community research programmes — Assigned revenue

    p.m.

    p.m.

    96 666 453,—

    6 0 1 4

    Cooperation agreements with non-member countries under Community industrial programmes — Assigned revenue

    0,—

    6 0 1 5

    Cooperation agreements with institutes from non-member countries in connection with scientific and technological projects of Community interest (Eureka and others) — Assigned revenue

    p.m.

    p.m.

    –2 500,—

    6 0 1 6

    Agreements for European cooperation in the field of scientific and technical research — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 6 0 1 — Total

    p.m.

    p.m.

    120 450 949,—

    6 0 2

    Other programmes

    6 0 2 1

    Miscellaneous revenue relating to humanitarian aid — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 6 0 2 — Total

    p.m.

    p.m.

    0,—

    6 0 3

    Association agreements between the Communities and third countries

    6 0 3 1

    Revenue accruing from the participation of the candidate countries in Community programmes — Assigned revenue

    p.m.

    p.m.

    140 906 287,98

    6 0 3 2

    Revenue accruing from the participation of non-member countries in customs cooperation agreements — Assigned revenue

    p.m.

    p.m.

    194 687,72

    6 0 3 3

    Participation of outside bodies in Community activities — Assigned revenue

    p.m.

    p.m.

    99 916 311,—

     

    Article 6 0 3 — Total

    p.m.

    p.m.

    241 017 286,70

     

    CHAPTER 6 0 — TOTAL

    p.m.

    p.m.

    361 468 235,70

     

    CHAPTER 6 1

    6 1 1

    Repayment of expenditure incurred on behalf of one or more Member States

    6 1 1 3

    Revenue from the investments provided for in Article 4 of Decision 2003/76/EC — Assigned revenue

    p.m.

    p.m.

    41 922 000,—

    6 1 1 4

    Revenue accruing from amounts recovered under the research programme of the Research Fund for Coal and Steel

    p.m.

    p.m.

    0,—

     

    Article 6 1 1 — Total

    p.m.

    p.m.

    41 922 000,—

    6 1 2

    Repayment of expenditure incurred specifically as a result of work undertaken on request and against payment — Assigned revenue

    p.m.

    p.m.

    27 796,96

    6 1 3

    Sums recovered in accordance with Article 8 of Regulation (EC) No 1258/1999

    p.m.

    p.m.

    0,—

    6 1 4

    Repayment of Community support to commercially successful projects and activities

    6 1 4 0

    Repayment of Community support to commercially successful projects and activities in the field of new energy technology — Assigned revenue

    p.m.

    p.m.

    0,—

    6 1 4 1

    Repayment of Community support to commercially successful data-processing projects

    0,—

    6 1 4 3

    Repayment of Community support to European risk capital activities in support of small and medium-sized enterprises — Assigned revenue

    p.m.

    p.m.

    5 499 344,39

     

    Article 6 1 4 — Total

    p.m.

    p.m.

    5 499 344,39

    6 1 5

    Repayment of unused Community aid

    6 1 5 0

    Repayment of unused aid from the European Social Fund, the European Regional Development Fund and the European Agricultural Guidance and Guarantee Fund

    p.m.

    75 000 000

    429 084 118,91

    6 1 5 1

    Repayment of unused subsidies for balancing budgets — Assigned revenue

    p.m.

    p.m.

    0,—

    6 1 5 2

    Repayment of unused interest subsidies — Assigned revenue

    p.m.

    p.m.

    0,—

    6 1 5 3

    Repayment of unused sums paid under contracts concluded by the institution — Assigned revenue

    p.m.

    p.m.

    143 495,38

    6 1 5 7

    Repayments of payments on account under the Structural Funds and the Cohesion Fund

    p.m.

    p.m.

    253 677 656,79

    6 1 5 8

    Repayment of miscellaneous unused Community aid — Assigned revenue

    p.m.

    p.m.

    3 351 734,01

     

    Article 6 1 5 — Total

    p.m.

    75 000 000

    686 257 005,09

    6 1 6

    Repayment of expenditure incurred on behalf of the International Atomic Energy Agency — Assigned revenue

    p.m.

    p.m.

    0,—

    6 1 7

    Repayment of amounts paid in connection with Community aid to non-member countries

    6 1 7 0

    Repayments within the framework of cooperation with South Africa — Assigned revenue

    p.m.

    p.m.

    3 674 076,—

     

    Article 6 1 7 — Total

    p.m.

    p.m.

    3 674 076,—

    6 1 8

    Repayment of amounts paid in connection with food aid

    6 1 8 0

    Repayments by tenderers or recipients of overpayments made in connection with food aid — Assigned revenue

    p.m.

    p.m.

    0,—

    6 1 8 1

    Repayment of additional costs caused by the recipients of food aid — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 6 1 8 — Total

    p.m.

    p.m.

    0,—

    6 1 9

    Repayment of other expenditure incurred on behalf of outside bodies

    6 1 9 1

    Repayment of other expenditure incurred on behalf of outside bodies under Council Decision 94/179/Euratom — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 6 1 9 — Total

    p.m.

    p.m.

    0,—

     

    CHAPTER 6 1 — TOTAL

    p.m.

    75 000 000

    737 380 222,44

     

    CHAPTER 6 2

    6 2 0

    Supply against payment of source materials or special fissile materials (Article 6(b) of the EAEC Treaty) — Assigned revenue

    p.m.

    p.m.

    0,—

    6 2 2

    Revenue from services provided by the Joint Research Centre to outside bodies against payment

    6 2 2 1

    Revenue from the operation of the HFR to be used to provide additional appropriations — Assigned revenue

    p.m.

    p.m.

    2 240 144,20

    6 2 2 2

    Other revenue from services provided by the Joint Research Centre to outside bodies against payment to be used to cover appropriations entered in the statement of expenditure — Assigned revenue

    0,—

    6 2 2 3

    Other revenue from services provided by the Joint Research Centre to outside bodies against payment to be used to provide additional appropriations — Assigned revenue

    p.m.

    p.m.

    6 296 581,36

    6 2 2 4

    Revenue from licences granted by the Commission on inventions resulting from Community research, irrespective of whether they can be patented — Assigned revenue

    p.m.

    p.m.

    85 742,97

    6 2 2 5

    Other revenue for the Joint Research Centre — Assigned revenue

    p.m.

    p.m.

    0,—

    6 2 2 6

    Revenue from services provided by the Joint Research Centre to other services of the Commission on a competitive basis, causing supplementary appropriations — Assigned revenue

    p.m.

    p.m.

    29 608 244,51

     

    Article 6 2 2 — Total

    p.m.

    p.m.

    38 230 713,04

    6 2 4

    Revenue from licences granted by the Commission on inventions resulting from Community research, irrespective of whether they can be patented (indirect action) — Assigned revenue

    p.m.

    p.m.

    0,—

     

    CHAPTER 6 2 — TOTAL

    p.m.

    p.m.

    38 230 713,04

     

    CHAPTER 6 3

    6 3 0

    Contributions by the European Free Trade Association Member States under the Cooperation Agreement on the European Economic Area — Assigned revenue

    p.m.

    p.m.

    114 214 258,—

    6 3 1

    Contributions in connection with the Schengen acquis

    6 3 1 1

    Contributions to administrative costs resulting from the agreement concluded with Iceland and Norway — Assigned revenue

    p.m.

    p.m.

    0,—

    6 3 1 2

    Contributions for the development of large-scale information systems under the agreement concluded with Iceland, Norway and Switzerland — Assigned revenue

    p.m.

    p.m.

    10 368,98

    6 3 1 3

    Other contributions in connection with the Schengen acquis (Iceland, Norway and Switzerland) — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 6 3 1 — Total

    p.m.

    p.m.

    10 368,98

     

    CHAPTER 6 3 — TOTAL

    p.m.

    p.m.

    114 224 626,98

     

    CHAPTER 6 5

    6 5 0

    Financial corrections

    6 5 0 0

    Financial corrections in connection with the Structural Funds

    p.m.

    145 000 000

    126 789 866,05

     

    Article 6 5 0 — Total

    p.m.

    145 000 000

    126 789 866,05

     

    CHAPTER 6 5 — TOTAL

    p.m.

    145 000 000

    126 789 866,05

     

    CHAPTER 6 6

    6 6 0

    Other contributions and refunds

    6 6 0 0

    Other assigned contributions and refunds — Assigned revenue

    p.m.

    p.m.

    254 887 339,60

    6 6 0 1

    Other non-assigned contributions and refunds

    10 000 000

    15 000 000

    8 804 875,31

     

    Article 6 6 0 — Total

    10 000 000

    15 000 000

    263 692 214,91

     

    CHAPTER 6 6 — TOTAL

    10 000 000

    15 000 000

    263 692 214,91

     

    CHAPTER 6 7

    6 7 0

    Revenue concerning EAGF

    6 7 0 1

    Clearance of EAGF accounts — Assigned revenue

    p.m.

     

     

    6 7 0 2

    EAGF Irregularities — Assigned revenue

    p.m.

     

     

    6 7 0 3

    Superlevy from milk producers — Assigned revenue

    p.m.

     

     

     

    Article 6 7 0 — Total

    p.m.

     

     

    6 7 1

    Revenue concerning EAFRD

    6 7 1 1

    Clearance of accounts EAFRD — Assigned revenue

    p.m.

     

     

    6 7 1 2

    EAFRD irregularities — Assigned revenue

    p.m.

     

     

     

    Article 6 7 1 — Total

    p.m.

     

     

     

    CHAPTER 6 7 — TOTAL

    p.m.

     

     

     

    CHAPTER 6 8

    6 8 0

    Temporary restructuring amounts — Assigned revenue

    6 8 0 1

    Temporary restructuring amounts — Assigned revenue

    p.m.

     

     

    6 8 0 2

    Irregularities concerning the temporary restructuring fund — Assigned revenue

    p.m.

     

     

     

    Article 6 8 0 — Total

    p.m.

     

     

     

    CHAPTER 6 8 — TOTAL

    p.m.

     

     

     

    Title 6 — Total

    10 000 000

    235 000 000

    1 641 785 879,12

    CHAPTER 6 0 —

    CONTRIBUTIONS TO COMMUNITY PROGRAMMES

    CHAPTER 6 1 —

    REPAYMENT OF MISCELLANEOUS EXPENDITURE

    CHAPTER 6 2 —

    REVENUE FROM SERVICES RENDERED AGAINST PAYMENT

    CHAPTER 6 3 —

    CONTRIBUTIONS UNDER SPECIFIC AGREEMENTS

    CHAPTER 6 5 —

    FINANCIAL CORRECTIONS

    CHAPTER 6 6 —

    OTHER CONTRIBUTIONS AND REFUNDS

    CHAPTER 6 7 —

    REVENUE CONCERNING EAGF AND EAFRD

    CHAPTER 6 8 —

    TEMPORARY RESTRUCTURING AMOUNTS

    CHAPTER 6 0 —   CONTRIBUTIONS TO COMMUNITY PROGRAMMES

    6 0 1   Miscellaneous research programmes

    6 0 1 1   Switzerland/Euratom cooperation agreements on controlled thermonuclear fusion and plasma physics — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Revenue resulting from cooperation agreements between Switzerland and the European Atomic Energy Community, notably that of 14 September 1978.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Article 08 21 04 (indirect action) of the statement of expenditure in Section III ‘Commission’, depending on the expenditure to be covered.

    6 0 1 2   European fusion development agreements (EFDA) — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    23 786 996,—

    Revenue resulting from the multilateral EFDA agreements between the European Atomic Energy Community and its 18 fusion associates, notably that of 30 March 1999.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Article 08 21 04 (Indirect action) of the statement of expenditure in Section III ‘Commission’, depending on the expenditure to be covered.

    Such revenue covers the associates’ contribution to financing the Joint Fund expenditure resulting from the use of JET facilities for the purposes of the EFDA.

    6 0 1 3   Cooperation agreements with non-member countries under Community research programmes — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    96 666 453,—

    Revenue resulting from cooperation agreements between the Community and non-member countries, notably those participating in European cooperation in the field of scientific and technical research in order to associate them with Community research programmes.

    Any contributions received are to cover the costs of meetings, experts’ contracts and research expenditure under the programmes in question.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Articles 02 04 03, 06 06 04, 08 21 04, 09 04 02, 11 05 01 (indirect action), 10 02 02 and 10 03 02 of the statement of expenditure in Section III ‘Commission’, depending on the expenditure to be covered.

    Legal basis

    Decision 2004/112/EC, Euratom of the Council and Commission of 22 December 2003 on the signature on behalf of the European Community and of the European Atomic Energy Community of the Agreement on Scientific and Technological Cooperation between the European Community and the European Atomic Energy Community, of the one part, and the Swiss Confederation, of the other part (OJ L 32, 5.2.2004, p. 22).

    Decision 2004/576/EC of the Council of 29 April 2004 concerning the conclusion of the Agreement on Scientific and Technical Cooperation between the European Community and the State of Israel (OJ L 261, 6.8.2004, p. 47).

    Reference acts

    Resolution of the Ministers of States participating in European cooperation in the field of scientific and technical research (COST) (signed in Vienna on 21 November 1991) (OJ C 333, 24.12.1991, p. 1).

    6 0 1 4   Cooperation agreements with non-member countries under Community industrial programmes — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    0,—

    Revenue resulting from cooperation agreements between the Community and European non-member countries, notably those participating in European cooperation in the field of scientific and technical research in order to associate them with Community research programmes.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    Reference acts

    Resolution of the Ministers of States participating in European cooperation in the field of scientific and technical research (COST) (signed in Vienna on 21 November 1991) (OJ C 333, 24.12.1991, p. 1).

    6 0 1 5   Cooperation agreements with institutes from non-member countries in connection with scientific and technological projects of Community interest (Eureka and others) — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    –2 500,—

    Revenue resulting from cooperation agreements between the Community and institutes from non-member countries in connection with scientific and technological projects of Community interest (Eureka and others).

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Articles 02 04 03, 06 06 04, 08 21 04, 09 04 02 and 11 05 01 (indirect action) of the statement of expenditure in Section III ‘Commission’.

    6 0 1 6   Agreements for European cooperation in the field of scientific and technical research — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Revenue from States taking part in European cooperation in the field of scientific and technical research.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Articles 02 04 03, 06 06 04, 08 21 04, 09 04 02 and 11 05 01 (indirect action) of the statement of expenditure in Section III ‘Commission’.

    Reference acts

    Resolution of the Ministers of States participating in European cooperation in the field of scientific and technical research (COST) (signed in Vienna on 21 November 1991) (OJ C 333, 24.12.1991, p. 1).

    6 0 2   Other programmes

    6 0 2 1   Miscellaneous revenue relating to humanitarian aid — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Any contributions by outside bodies relating to humanitarian aid.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Title 23 of the statement of expenditure in Section III ‘Commission’.

    6 0 3   Association agreements between the Communities and third countries

    6 0 3 1   Revenue accruing from the participation of the candidate countries in Community programmes — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    140 906 287,98

    Revenue accruing from the Association Agreements concluded between the Community and the hereinafter countries as a result of their participation in various Community programmes. Eventual revenue coming from countries that are already Member States relate to past operations.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    Reference acts

    Europe Agreement of 23 December 1963 establishing an Association between the European Communities and their Member States, of the one part, and Turkey, of the other part (OJ 217, 29.12.1964, p. 3687/64).

    Europe Agreement of 1 March 1971 establishing an Association between the European Communities and their Member States, of the one part, and Malta, of the other part (OJ L 61, 14.3.1971, p. 1).

    Europe Agreement of 14 May 1973 establishing an Association between the European Communities and their Member States, of the one part, and the Republic of Cyprus, of the other part (OJ L 133, 21.5.1973, p. 1).

    Europe Agreement of 16 December 1991 establishing an Association between the European Communities and their Member States, of the one part, and the Republic of Hungary, of the other part (OJ L 347, 31.12.1993, p. 2).

    Europe Agreement of 16 December 1991 establishing an Association between the European Communities and their Member States, of the one part, and the Republic of Poland, of the other part (OJ L 348, 31.12.1993, p. 2).

    Europe Agreement of 1 February 1993 establishing an Association between the European Communities and their Member States, of the one part, and Romania, of the other part (OJ L 357, 31.12.1994, p. 2).

    Europe Agreement of 8 March 1993 establishing an Association between the European Communities and their Member States, of the one part, and the Republic of Bulgaria, of the other part (OJ L 358, 31.12.1994, p. 3).

    Europe Agreement of 4 October 1993 establishing an Association between the European Communities and their Member States, of the one part, and the Czech Republic, of the other part (OJ L 360, 31.12.1994, p. 2).

    Europe Agreement of 4 October 1993 establishing an Association between the European Communities and their Member States, of the one part, and the Slovak Republic, of the other part (OJ L 359, 31.12.1994, p. 2).

    Europe Agreement of 12 June 1995 establishing an Association between the European Communities and their Member States, of the one part, and the Republic of Latvia, of the other part (OJ L 26, 2.2.1998, p. 3).

    Europe Agreement of 12 June 1995 establishing an Association between the European Communities and their Member States, of the one part, and the Republic of Lithuania, of the other part (OJ L 51, 20.2.1998, p. 3).

    Europe Agreement of 12 June 1995 establishing an Association between the European Communities and their Member States, of the one part, and the Republic of Estonia, of the other part (OJ L 68, 9.3.1998, p. 3).

    Europe Agreement of 12 December 1998 establishing an Association between the European Communities and their Member States, of the one part, and the Republic of Slovenia, of the other part (OJ L 51, 26.2.1999, p. 2).

    Framework Agreement of 22 November 2004 between the European Community and the Republic of Croatia establishing general principles of the participation of the Republic of Croatia in Community programmes (OJ L 192, 22.7.2005, p. 16).

    Additional Protocols to the Europe Agreements (Articles 228 and 238) opening up Community programmes to the candidate countries.

    6 0 3 2   Revenue accruing from the participation of non-member countries in customs cooperation agreements — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    194 687,72

    This item is intended to receive non-member country contributions to customs cooperation agreements, in particular under the Transit project and the project for the dissemination of tariff and other particulars (by computer).

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Article 14 03 01 ‘Customs 2002’ and Article 14 03 02 ‘Customs 2007’ of the statement of expenditure in Section III ‘Commission’.

    Legal basis

    Convention of 20 May 1987 on a Common Transit Procedure (OJ L 226, 13.8.1987, p. 2), as last amended by Decision No 6/2005 of the EC-EFTA Joint Committee (OJ L 324, 10.12.2005, p. 96).

    Decision No 210/97/EC of the European Parliament and of the Council of 19 December 1996 adopting an action programme for customs in the Community ‘Customs 2000’ (OJ L 33, 4.2.1997, p. 24), as amended by Decision No 105/2000/EC (OJ L 13, 19.1.2000, p. 1).

    Council Decision of 19 March 2001 authorising the Commission to negotiate, on behalf of the European Community, an amendment to the Convention creating the Customs Cooperation Council signed in Brussels on 15 December 1950 allowing the European Community to become a member of that organisation.

    Decision No 253/2003/EC of the European Parliament and of the Council of 11 February 2003 adopting an action programme for customs in the Community ‘Customs 2007’ (OJ L 36, 12.2.2003, p. 1), as amended by Decision No 787/2004/EC (OJ L 138, 30.4.2004, p. 12).

    6 0 3 3   Participation of outside bodies in Community activities — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    99 916 311,—

    Any contributions by outside bodies to Community activities.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    CHAPTER 6 1 —   REPAYMENT OF MISCELLANEOUS EXPENDITURE

    6 1 1   Repayment of expenditure incurred on behalf of one or more Member States

    6 1 1 3   Revenue from the investments provided for in Article 4 of Decision 2003/76/EC — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    41 922 000,—

    Council Decision 2003/76/EC of 1 February 2003 establishing the measures necessary for the implementation of the Protocol, annexed to the Treaty establishing the European Community, on the financial consequences of the expiry of the ECSC Treaty and on the Research Fund for Coal and Steel (OJ L 29, 5.2.2003, p. 22) stipulates that the Commission shall be entrusted with winding up the financial operations of the European Coal and Steel Community which are still in progress when the ECSC Treaty expires.

    Pursuant to Article 4 of Decision 2003/76/EC, net revenue from the investment of available assets will constitute revenue in the general budget of the European Union earmarked for a specific purpose, namely financing research projects in sectors related to the coal and steel industry by a coal and steel research fund.

    The net revenue available for financing research projects in year n+2 appears in the balance sheet of the ECSC in liquidation for year n, and after the liquidation process has been completed will appear as assets in the balance sheet of the Coal and Steel Research Fund. This financing mechanism took effect in 2003. Revenue coming from 2005 will be used for research in 2007. In order to reduce as far as possible the fluctuations that movements in the financial markets could cause in the financing of research, a smoothing arrangement is applied. The amount of net revenue expected to be available for research in 2007 comes to EUR 53 875 000.

    In accordance with Article 4 of Decision 2003/76/EC, 72,8 % of the fund’s appropriations will be for the steel-related sector and 27,2 % for the coal-related sector.

    In accordance with Article 18 of the Financial Regulation, revenue will be used to provide additional appropriations under Chapter 08 22 of the statement of expenditure in Section III ‘Commission’.

    6 1 1 4   Revenue accruing from amounts recovered under the research programme of the Research Fund for Coal and Steel

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Council Decision 2003/76/EC of 1 February 2003 establishing the measures necessary for the implementation of the Protocol, annexed to the Treaty establishing the European Community, on the financial consequences of the expiry of the ECSC Treaty and on the Research Fund for Coal and Steel (OJ L 29, 5.2.2003, p. 22) stipulates that the Commission shall be entrusted with winding up the financial operations of the European Coal and Steel Community which are still in progress when the ECSC Treaty expires.

    Pursuant to Article 4(5) of that Decision, the amounts recovered return initially to the assets of the ECSC in liquidation and subsequently, on completion of the liquidation, to the assets of the Research Fund for Coal and Steel.

    6 1 2   Repayment of expenditure incurred specifically as a result of work undertaken on request and against payment — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    27 796,96

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    Commission

     

    p.m.

    Council

     

    p.m.

     

    Total

    p.m.

    6 1 3   Sums recovered in accordance with Article 8 of Regulation (EC) No 1258/1999

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Sums which are lost in the financing of the common agricultural policy as a result of irregularities or negligence and then recovered are paid to the paying departments or agencies and deducted by them from the expenditure financed by the European Agricultural Guidance and Guarantee Fund. A revenue entry will therefore be made only if the sums recovered exceed expenditure.

    Legal basis

    Council Regulation (EC) No 1258/1999 of 17 May 1999 on the financing of the common agricultural policy (OJ L 160, 26.6.1999, p. 103), as amended by Regulation (EC) No 1290/2005 (OJ L 209, 11.8.2005, p. 1).

    6 1 4   Repayment of Community support to commercially successful projects and activities

    6 1 4 0   Repayment of Community support to commercially successful projects and activities in the field of new energy technology — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Revenue from repayment of Community support to commercially successful projects and activities in the field of new energy technology.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    6 1 4 1   Repayment of Community support to commercially successful data-processing projects

    Financial year 2007

    Financial year 2006

    Financial year 2005

    0,—

    Revenue from repayment of Community support to commercially successful data-processing projects.

    Legal basis

    Council Regulation (EEC) No 1996/79 of 11 September 1979 on a Community support mechanism in the field of data processing (OJ L 231, 13.9.1979, p. 1), as amended by documents concerning the accession of the Kingdom of Spain and the Portuguese Republic to the European Communities, act concerning the conditions of accession of the Kingdom of Spain and the Portuguese Republic and the Adjustments to the Treaties, Annex I: List provided for in Article 26 of the Act of Accession (OJ L 302, 15.11.1985, p. 230).

    6 1 4 3   Repayment of Community support to European risk capital activities in support of small and medium-sized enterprises — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    5 499 344,39

    Revenue from repayment of Community support to European risk capital activities in support of small and medium-sized enterprises.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    6 1 5   Repayment of unused Community aid

    6 1 5 0   Repayment of unused aid from the European Social Fund, the European Regional Development Fund and the European Agricultural Guidance and Guarantee Fund

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    75 000 000

    429 084 118,91

    Repayment of unused aid from the European Social Fund, the European Regional Development Fund and the European Agricultural Guidance and Guarantee Fund.

    In accordance with Article 18 of the Financial Regulation, this revenue may be used to provide additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    6 1 5 1   Repayment of unused subsidies for balancing budgets — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    6 1 5 2   Repayment of unused interest subsidies — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    6 1 5 3   Repayment of unused sums paid under contracts concluded by the institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    143 495,38

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    6 1 5 7   Repayments of payments on account under the Structural Funds and the Cohesion Fund

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    253 677 656,79

    This item is intended to record the repayment of payments on account under the Structural Funds (Guidance Section of the European Agricultural Guidance and Guarantee Fund, Financial Instrument for Fisheries Guidance, European Regional Development Fund and European Social Fund) and the Cohesion Fund.

    The amounts booked to this item will, in accordance with Articles 18 and 157 of the Financial Regulation, be used to provide additional appropriations on the corresponding headings of Titles 04, 05, 11 and 13 of the statement of expenditure in Section III ‘Commission’ if they are required in order not to reduce the contribution of the Structural Funds and the Cohesion Fund to the operation concerned.

    Legal basis

    Council Regulation (EC) No 1260/1999 of 21 June 1999 laying down general provisions on the Structural Funds (OJ L 161, 26.6.1999, p. 1), as last amended by Regulation (EC) No 1198/2006 (OJ L 223, 15.8.2006, p. 1), and in particular Article 32(2) thereof.

    Council Regulation (EC) No 1265/1999 of 21 June 1999 amending Annex II to Regulation (EC) No 1164/94 establishing a Cohesion Fund (OJ L 161, 26.6.1999, p. 62), and in particular Article 1(4) thereof.

    Commission Regulation (EC) No 448/2001 of 2 March 2001 laying down detailed rules for the implementation of Council Regulation (EC) No 1260/1999 as regards the procedure for making financial corrections to assistance granted under the Structural Funds (OJ L 64, 6.3.2001, p. 13), as amended by Regulation (EC) No 1978/2006 (OJ L 368, 23.12.2006, p. 89).

    6 1 5 8   Repayment of miscellaneous unused Community aid — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    3 351 734,01

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations on the lines which bore the initial expenditure giving rise to the corresponding revenue.

    6 1 6   Repayment of expenditure incurred on behalf of the International Atomic Energy Agency — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Repayment by the International Atomic Energy Agency (IAEA) of sums which were advanced by the Commission to pay for controls carried out by the IAEA under the verification agreements (see Articles 06 05 01 and 06 05 02 of the statement of expenditure in Section III ‘Commission’).

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    6 1 7   Repayment of amounts paid in connection with Community aid to non-member countries

    6 1 7 0   Repayments within the framework of cooperation with South Africa — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    3 674 076,—

    Repayments by tenderers or recipients of overpayments made in connection with development cooperation with South Africa.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Article 21 06 02 of the statement of expenditure in Section III ‘Commission’.

    Legal basis

    Regulation (EC) No 1726/2000 of the European Parliament and of the Council of 29 June 2000 on development cooperation with South Africa (OJ L 198, 4.8.2000, p. 1), as last amended by Regulation (EC) No 1905/2006 (OJ L 378, 27.12.2006, p. 41).

    6 1 8   Repayment of amounts paid in connection with food aid

    6 1 8 0   Repayments by tenderers or recipients of overpayments made in connection with food aid — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Provisions contained in the invitations to tender or in the financial conditions attached to the Commission's letters setting out the conditions under which food aid is granted to recipients.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    6 1 8 1   Repayment of additional costs caused by the recipients of food aid — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Provisions contained in the terms of delivery attached to the Commission's letters setting out the conditions under which food aid is granted to recipients.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    6 1 9   Repayment of other expenditure incurred on behalf of outside bodies

    6 1 9 1   Repayment of other expenditure incurred on behalf of outside bodies under Council Decision 94/179/Euratom — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Articles 22 02 03 and 19 06 05 of the statement of expenditure in Section III ‘Commission’.

    CHAPTER 6 2 —   REVENUE FROM SERVICES RENDERED AGAINST PAYMENT

    6 2 0   Supply against payment of source materials or special fissile materials (Article 6(b) of the EAEC Treaty) — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Treaty establishing the European Atomic Energy Community, and in particular Article 6(b) thereof.

    Revenue from the supply to Member States against payment of source materials or special fissile materials for their research programmes.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    6 2 2   Revenue from services provided by the Joint Research Centre to outside bodies against payment

    6 2 2 1   Revenue from the operation of the HFR to be used to provide additional appropriations — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    2 240 144,20

    Revenue resulting from the operation of the HFR (high-flux reactor) at the Petten establishment of the Joint Research Centre.

    Payments by outside bodies, in particular France and the Netherlands, to cover all types of expenditure involved in the operation of the HFR by the Joint Research Centre.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Articles 10 01 05 and 10 04 04 of the statement of expenditure in Section III ‘Commission’.

    Completion of earlier programmes

    The revenue is provided by Germany, France and the Netherlands.

    6 2 2 2   Other revenue from services provided by the Joint Research Centre to outside bodies against payment to be used to cover appropriations entered in the statement of expenditure — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    0,—

    Revenue from persons, firms and national bodies for which the Joint Research Centre will carry out work and/or provide services against payment.

    The appropriations will also be used for repayments under the advance fund for the earlier joint programmes.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    6 2 2 3   Other revenue from services provided by the Joint Research Centre to outside bodies against payment to be used to provide additional appropriations — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    6 296 581,36

    Revenue from persons, firms and national bodies for which the Joint Research Centre will carry out work and/or provide services against payment.

    In accordance with Article 18 and Article 161(2) of the Financial Regulation, any revenue will be used to provide additional appropriations under Articles 10 01 05, 10 04 01 and 10 04 02 of the statement of expenditure in Section III ‘Commission’ amounting to the expenditure under each contract with an outside body.

    6 2 2 4   Revenue from licences granted by the Commission on inventions resulting from Community research, irrespective of whether they can be patented — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    85 742,97

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Articles 10 01 05, 10 04 02, 10 04 03 and Chapters 10 02 and 10 03 of the statement of expenditure in section III ‘Commission’.

    Legal basis

    Council Regulation (EEC) No 2380/74 of 17 September 1974 adopting provisions for the dissemination of information relating to research programmes for the European Economic Community (OJ L 255, 20.9.1974, p. 1).

    Reference acts

    Treaty establishing the European Atomic Energy Community, and in particular Article 12 thereof.

    6 2 2 5   Other revenue for the Joint Research Centre — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Revenue from contributions, gifts or bequests from third parties for the various activities carried out by the Joint Research Centre.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Article 10 01 05 and Chapters 10 02, 10 03 and 10 04 of the statement of expenditure in section III ‘Commission’.

    6 2 2 6   Revenue from services provided by the Joint Research Centre to other services of the Commission on a competitive basis, causing supplementary appropriations — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    29 608 244,51

    Revenue from other services of the Commission for which the Joint Research Centre will carry out work and/or provide services against payment and revenue from participation in the activities of the framework programmes for research and technological development.

    In accordance with Article 18 and Article 161(2) of the Financial Regulation, any revenue will be used to provide additional appropriations under Articles 10 01 05, 10 02 01, 10 03 01, 10 04 01 and 10 04 03 of the statement of expenditure in Section III ‘Commission’ amounting to the specific expenditure under each contract with other services of the Commission.

    6 2 4   Revenue from licences granted by the Commission on inventions resulting from Community research, irrespective of whether they can be patented (indirect action) — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    Legal basis

    Council Regulation (EEC) No 2380/74 of 17 September 1974 adopting provisions for the dissemination of information relating to research programmes for the European Economic Community (OJ L 255, 20.9.1974, p. 1).

    Reference acts

    Treaty establishing the European Atomic Energy Community, and in particular Article 12 thereof.

    CHAPTER 6 3 —   CONTRIBUTIONS UNDER SPECIFIC AGREEMENTS

    6 3 0   Contributions by the European Free Trade Association Member States under the Cooperation Agreement on the European Economic Area — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    114 214 258,—

    This article is intended to record contributions from the European Free Trade Association Member States resulting from their financial participation in certain Community activities in accordance with Article 82 of and with Protocol 32 to the Agreement on the European Economic Area.

    The total contribution planned is shown in the summary presented for information in an annex to the statement of expenditure in Section III ‘Commission’.

    Contributions by the European Free Trade Association Member States are made available to the Commission in accordance with Articles 1 to 3 of Protocol 32 to the Agreement.

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations to finance the expenditure to which this revenue is assigned.

    Reference acts

    Agreement on the European Economic Area (OJ L 1, 3.1.1994, p. 3).

    6 3 1   Contributions in connection with the Schengen acquis

    6 3 1 1   Contributions to administrative costs resulting from the agreement concluded with Iceland and Norway — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Contributions to administrative costs resulting from the Agreement of 18 May 1999 concluded by the Council of the European Union and the Republic of Iceland and the Kingdom of Norway concerning the latters’ association with the implementation, application and development of the Schengen acquis, and in particular Article 12 of that Agreement (OJ L 176, 10.7.1999, p. 36).

    Council

     

    p.m.

    Legal basis

    Council Decision 1999/437/EC of 17 May 1999 on certain arrangements for the application of the Agreement concluded by the Council of the European Union and the Republic of Iceland and the Kingdom of Norway concerning the association of those two States with the implementation, application and development of the Schengen acquis (OJ L 176, 10.7.1999, p. 31).

    6 3 1 2   Contributions for the development of large-scale information systems under the agreement concluded with Iceland, Norway and Switzerland — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    10 368,98

    In accordance with Article 18 of Financial Regulation, any revenue will be used to provide additional appropriations under Articles 18 02 04, 18 02 05 and 18 03 11 of the statement of expenditure in Section III 'Commission'.

    Recital 10 of Council Regulation (EC) No 2424/2001 of 6 December 2001 on the development of the second generation Schengen information system (SIS II) (OJ L 328, 13.12.2001, p. 4) states that an arrangement has to be made to allow representatives of Iceland and Norway to be associated with the work of committees assisting the Commission in the exercise of its implementing powers.

    Legal basis

    Council Regulation (EC) No 2725/2000 of 11 December 2000 concerning the establishment of 'Eurodac' for the comparison of fingerprints for the effective application of the Dublin Convention (OJ L 316, 15.12.2000, p. 1).

    Council Decision 2001/258/EC of 15 March 2001 concerning the conclusion of an Agreement between the European Community and the Republic of Iceland and the Kingdom of Norway concerning the criteria and mechanisms for establishing the State responsible for examining a request for asylum lodged in a Member State or Iceland or Norway (OJ L 93, 3.4.2001, p. 38), and in particular Article 9 of the Agreement.

    Council Decision 2001/886/JHA of 6 December 2001 on the development of the second generation Schengen information system (SIS II) (OJ L 328, 13.12.2001, p. 1), as last amended by Decision 2006/1007/JHA (OJ L 411, 30.12.2006, p. 78).

    Council Regulation (EC) No 343/2003 of 18 February 2003 establishing the criteria and mechanisms for determining the Member State responsible for examining an asylum application lodged in one of the Member States by a third-country national (OJ L 50, 25.2.2003, p. 1).

    Commission Regulation (EC) No 1560/2003 of 2 September 2003 laying down detailed rules for the application of Council Regulation (EC) No 343/2003 establishing the criteria and mechanisms for determining the Member State responsible for examining an asylum application lodged in one of the Member States by a third-country national (OJ L 222, 5.9.2003, p. 3).

    Council Decision 2004/512/EC of 8 June 2004 establishing the VISA Information System (VIS) (OJ L 213, 15.6.2004, p. 5).

    Council Decision (2004/849/EC) of 25 October 2004 on the signing, on behalf of the European Union, and on the provisional application of certain provisions of the Agreement between the European Union, the European Community and the Swiss Confederation concerning the Swiss Confederation's association with the implementation, application and development of the Schengen acquis (OJ L 368, 15.12.2004, p. 26).

    Council Decision (2004/860/EC) of 25 October 2004 on the signing, on behalf of the European Union, and on the provisional application of certain provisions of the Agreement between the European Union, the European Community and the Swiss Confederation concerning the Swiss Confederation's association with the implementation, application and development of the Schengen acquis (OJ L 370, 17.12.2004, p. 78).

    Proposal for a Regulation of the European Parliament and of the Council, presented by the Commission on 28 December 2004, concerning the Visa Information System (VIS) and the exchange of data between Member States on short-stay visas (COM(2004) 835 final).

    Regulation (EC) No 1987/2006 of the European Parliament and of the Council of 20 December 2006 on the establishment, operation and use of the second generation Schengen information system (SIS II) (OJ L 381, 28.12.2006, p. 4).

    6 3 1 3   Other contributions in connection with the Schengen acquis (Iceland, Norway and Switzerland) — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    In accordance with Article 18 of the Financial Regulation, any revenue will be used to provide additional appropriations under Article 18 02 03 of the statement of expenditure in Section III 'Commission'.

    Legal basis

    Council Regulation (EC) No 2007/2004 of 26 October 2004 establishing a European Agency for the Management of Operational Cooperation at the External Borders of the Member States of the European Union (OJ L 349, 25.11.2004, p. 1).

    Proposal for a Decision of the European Parliament and the Council, submitted by the Commission of 2 May 2005, establishing the External Border Fund for the period 2007 to 2013 as part of the General programme 'Solidarity and Management of Migration Flows’ (COM(2005) 123 final).

    CHAPTER 6 5 —   FINANCIAL CORRECTIONS

    6 5 0   Financial corrections

    6 5 0 0   Financial corrections in connection with the Structural Funds

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    145 000 000

    126 789 866,05

    This item is intended to accommodate financial corrections in connection with the Structural Funds (European Agricultural Guidance and Guarantee Fund, Guidance Section, Financial Instrument for Fisheries Guidance, European Regional Development Fund and European Social Fund).

    The amounts booked to this item may, in accordance with Article 18 of the Financial Regulation, be used to provide additional appropriations on the corresponding headings of Titles 04, 05, 11 and 13 of the statement of expenditure in Section III ‘Commission’ if they are required to cover the risk of corrections adopted earlier being cancelled or reduced.

    Legal basis

    Council Regulation (EEC) No 4253/88 of 19 December 1988 laying down provisions for implementing Regulation (EEC) No 2052/88 as regards coordination of the activities of the different Structural Funds between themselves and with the operations of the European Investment Bank and the other existing financial instruments (OJ L 374, 31.12.1988, p. 1), as last amended by Regulation (EC) No 1260/1999 (OJ L 161, 26.6.1999, p. 11), and in particular Article 24 thereof.

    Council Regulation (EC) No 1260/1999 of 21 June 1999 laying down general provisions on the Structural Funds (OJ L 161, 26.6.1999, p. 1), as last amended by Regulation (EC) No 1198/2006 (OJ L 223, 15.8.2006, p. 1), and in particular Article 32(2) thereof.

    Commission Regulation (EC) No 448/2001 of 2 March 2001 laying down detailed rules for the implementation of Council Regulation (EC) No 1260/1999 as regards the procedure for making financial corrections to assistance granted under the Structural Funds (OJ L 64, 6.3.2001, p. 13), as amended by Regulation (EC) No 1978/2006 (OJ L 368, 23.12.2006, p. 89).

    CHAPTER 6 6 —   OTHER CONTRIBUTIONS AND REFUNDS

    6 6 0   Other contributions and refunds

    6 6 0 0   Other assigned contributions and refunds — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    254 887 339,60

    This item is intended to accommodate, in accordance with Article 18 of the Financial Regulation, any revenue not provided for in other parts of Title 6 which is used to provide additional appropriations to finance expenditure to which this revenue is assigned.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    p.m.

    Ombudsman

     

    p.m.

     

    Total

    p.m.

    6 6 0 1   Other non-assigned contributions and refunds

    Financial year 2007

    Financial year 2006

    Financial year 2005

    10 000 000

    15 000 000

    8 804 875,31

    This item is intended to accommodate any revenue not provided for in other parts of Title 6 which is not used in accordance with Article 18 of the Financial Regulation.

    Parliament

     

    p.m.

    Commission

     

    10 000 000

     

    Total

    10 000 000

    CHAPTER 6 7 —   REVENUE CONCERNING EAGF AND EAFRD

    New chapter

    6 7 0   Revenue concerning EAGF

    New article

    6 7 0 1   Clearance of EAGF accounts — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New item

    This item is intended to accommodate revenue resulting from conformity decisions of the clearance of accounts in favour of the European Union budget concerning expenditure financed by EAGGF guarantee under Heading 1 of the 2000 to 2006 Financial Perspectives. It is also intended to accommodate amounts resulting from accounting clearance of accounts decisions in favour of the European Union budget concerning recorded assigned revenue related to it.

    In accordance with Articles 18 and 180 of the Financial Regulation, any revenue under this item will be used to provide additional appropriations to any budgetary item under EAGF, including Items 05 07 01 08 and 05 07 01 09, of the statement of expenditure in Section III ‘Commission’.

    In the framework of establishing the budget 2007, an amount of EUR 568 million has been taken into account for Article 05 03 01, in particular for Item 05 03 01 01.

    Legal basis

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    Council Regulation (EC) No 1290/2005 of 21 June 2005 on the financing of the common agricultural policy (OJ L 209, 11.8.2005, p. 1), as amended by Regulation (EC) No 320/2006 (OJ L 58, 28.2.2006, p. 42).

    6 7 0 2   EAGF Irregularities — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New item

    This item is intended to accommodate amounts recovered following irregularities or oversights, including the related interest, in particular amounts recovered in cases of irregularities or fraud, penalties and interest received as well as securities forfeited, resulting from expenditure financed by EAGGF Guarantee under Heading 1 of the Financial Perspectives 2000 to 2006.

    In accordance with Articles 18 and 180 of the Financial Regulation, any revenue under this item will be used to provide additional appropriations to any budgetary item under EAGF, including Items 05 07 01 08 and 05 07 01 09, of the statement of expenditure in Section III ‘Commission’.

    In the framework of establishing the budget 2007, an amount of EUR 70 million has been taken into account for Article 05 03 01, in particular for Item 05 03 01 01.

    Legal basis

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    Council Regulation (EC) No 1290/2005 of 21 June 2005 on the financing of the common agricultural policy (OJ L 209, 11.8.2005, p. 1), as amended by Regulation (EC) No 320/2006 (OJ L 58, 28.2.2006, p. 42).

    6 7 0 3   Superlevy from milk producers — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New item

    This item is intended to accommodate amounts collected or recovered in accordance with Council Regulation (EC) No 1788/2003.

    In accordance with Articles 18 and 180 of the Financial Regulation, any revenue under this item will be used to provide additional appropriations to any budgetary item under EAGF, including Items 05 07 01 08 and 05 07 01 09, of the statement of expenditure in Section III ‘Commission’.

    In the framework of establishing the budget 2007, an amount of EUR 349 million has been taken into account for Article 05 02 12, in particular for Item 05 02 12 01.

    Legal basis

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    Council Regulation (EC) No 1788/2003 of 29 September 2003 establishing a levy in the milk and milk products sector (OJ L 270, 21.10.2003, p. 123), as last amended by Regulation (EC) No 1406/2006 (OJ L 265, 26.9.2006, p. 8).

    Council Regulation (EC) No 1290/2005 of 21 June 2005 on the financing of the common agricultural policy (OJ L 209, 11.08.2005, p. 1), as amended by Regulation (EC) No 320/2006 (OJ L 58, 28.2.2006, p. 42).

    6 7 1   Revenue concerning EAFRD

    New article

    6 7 1 1   Clearance of accounts EAFRD — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New item

    This item is intended to accommodate amounts resulting from conformity clearance of accounts decisions in favour of the EU budget within the context of rural development financed by the EAFRD. It is also intended to accommodate amounts resulting from accounting clearance of accounts decisions in favour of the European Union budget concerning recorded assigned revenue related to it.

    In accordance with Articles 18 and 180 of the Financial Regulation, any revenue under this item will be used to provide additional appropriations to any budgetary item under the EAFRD.

    In the framework of establishing the budget 2007, no specific amount is foreseen for Article 05 04 05.

    Legal basis

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    Council Regulation (EC) No 1290/2005 of 21 June 2005 on the financing of the common agricultural policy (OJ L 209, 11.08.2005, p. 1), as amended by Regulation (EC) No 320/2006 (OJ L 58, 28.2.2006, p. 42).

    6 7 1 2   EAFRD irregularities — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New item

    This item is intended to accommodate amounts recovered resulting from irregularities and oversights, including the related interest, in particular amounts recovered in cases of irregularities or fraud, penalties and interest received as well as securities forfeited, in the context of rural development financed by the EAFRD.

    In accordance with Articles 18 and 180 of the Financial Regulation, any revenue under this item will be used to provide additional appropriations to any budgetary item under the EAFRD.

    In the framework of establishing the budget 2007, no specific amount is foreseen for Article 05 04 05.

    Legal basis

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    Council Regulation (EC) No 1290/2005 of 21 June 2005 on the financing of the common agricultural policy (OJ L 209, 11.08.2005, p. 1), as amended by Regulation (EC) No 320/2006 (OJ L 58, 28.2.2006, p. 42).

    CHAPTER 6 8 —   TEMPORARY RESTRUCTURING AMOUNTS

    New chapter

    6 8 0   Temporary restructuring amounts — Assigned revenue

    New article

    6 8 0 1   Temporary restructuring amounts — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New item

    This item is intended to accommodate the temporary restructuring amounts in the EU sugar sector as set out in Article 11 of Regulation (EC) No 320/2006.

    In accordance with Article 18 of the Financial Regulation the amounts booked in this Item are used to provide appropriations to Article 05 02 16 ‘Sugar Restructuring Fund’ of the statement of expenditure in Section III ‘Commission’ to finance restructuring aid and others aids fixed in Council Regulation (EC) No 320/2006.

    In the framework of establishing the budget 2007, an amount of EUR 1 259 million has been taken into account for this Item, of which an amount of EUR 757 million is foreseen for Article 05 02 16, and the remaining amount will be automatically carried over to the following financial year according to Article 10 of the Financial Regulation.

    Legal basis

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    Council Regulation (EC) No 320/2006 of 20 February 2006 establishing a temporary scheme for the restructuring of the sugar industry in the Community and amending Regulation 1290/2005 on the financing of the common agricultural policy (OJ L 58, 28.2.2006, p. 42).

    6 8 0 2   Irregularities concerning the temporary restructuring fund — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New item

    This item is intended to accommodate amounts recovered following irregularities or oversight including interest, penalties and securities acquired, resulting from expenditure financed by the temporary restructuring fund of the sugar industry in the Community established by Council Regulation (EC) No 320/2006.

    In accordance with Articles 18 and 180 of the Financial Regulation, any revenue under this item will be used to provide additional appropriations to Article 05 02 16 ‘Sugar Restructuring Fund’ of the statement of expenditure in Section III ‘Commission’ to finance restructuring aid and others aids fixed in Regulation (EC) No 320/2006.

    Legal basis

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    Council Regulation (EC) No 320/2006 of 20 February 2006 establishing a temporary scheme for the restructuring of the sugar industry in the Community and amending Regulation 1290/2005 on the financing of the common agricultural policy (OJ L 58, 28.2.2006, p. 42).

    TITLE 7

    INTEREST ON LATE PAYMENTS AND FINES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 7 0

    7 0 0

    Interest on late payments

    7 0 0 0

    Interest due on late payments into the accounts held with the treasuries of the Member States

    5 000 000

    7 500 000

    52 352 686,10

    7 0 0 1

    Other interest on late payments

    3 000 000

    2 000 000

    2 758 858,24

     

    Article 7 0 0 — Total

    8 000 000

    9 500 000

    55 111 544,34

    7 0 1

    Interest on late payments and other interest on fines

    15 000 000

    100 000 000

    44 931 534,34

     

    CHAPTER 7 0 — TOTAL

    23 000 000

    109 500 000

    100 043 078,68

     

    CHAPTER 7 1

    7 1 0

    Fines, periodic penalty payments and other penalties

    100 000 000

    744 000 000

    236 336 568,09

    7 1 1

    Collection of fines imposed for fraud and irregularities which are damaging to the Community's financial interests

    p.m.

    p.m.

    0,—

    7 1 2

    Penalty payments and lump sums imposed on a Member State for not complying with a judgment of the Court of Justice on its failure to fulfil an obligation under the Treaty

    p.m.

    58 000 000

    20 000 000,—

     

    CHAPTER 7 1 — TOTAL

    100 000 000

    802 000 000

    256 336 568,09

     

    CHAPTER 7 2

    7 2 0

    Interest on deposits and fines

    7 2 0 0

    Interest on deposits and fines resulting from the implementation of the excessive deficit procedure — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 7 2 0 — Total

    p.m.

    p.m.

    0,—

     

    CHAPTER 7 2 — TOTAL

    p.m.

    p.m.

    0,—

     

    Title 7 — Total

    123 000 000

    911 500 000

    356 379 646,77

    CHAPTER 7 0 —

    INTEREST ON LATE PAYMENTS

    CHAPTER 7 1 —

    FINES

    CHAPTER 7 2 —

    INTEREST ON DEPOSITS AND FINES

    CHAPTER 7 0 —   INTEREST ON LATE PAYMENTS

    7 0 0   Interest on late payments

    7 0 0 0   Interest due on late payments into the accounts held with the treasuries of the Member States

    Financial year 2007

    Financial year 2006

    Financial year 2005

    5 000 000

    7 500 000

    52 352 686,10

    Council

     

    p.m.

    Commission

     

    5 000 000

     

    Total

    5 000 000

    Legal basis

    Council Regulation (EC, Euratom) No 1150/2000 of 22 May 2000 implementing Decision 94/728/EC, Euratom on the system of the Communities’ own resources (OJ L 130, 31.5.2000, p. 1), as last amended by Council Regulation (EC, Euratom) No 2028/2004 (OJ L 352, 27.11.2004, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1), and in particular Article 71(4) thereof.

    7 0 0 1   Other interest on late payments

    Financial year 2007

    Financial year 2006

    Financial year 2005

    3 000 000

    2 000 000

    2 758 858,24

    Legal basis

    Council Regulation (EC) No 1260/1999 of 21 June 1999 laying down general provisions on the Structural Funds (OJ L 161, 26.6.1999, p. 1), as last amended by Regulation (EC) No 173/2005 (OJ L 29, 2.2.2005, p. 3), and in particular Article 39(4) thereof.

    Commission Regulation (EC) No 448/2001 of 2 March 2001 laying down detailed rules for the implementation of Council Regulation (EC) No 1260/1999 as regards the procedure for making financial corrections to assistance granted under the Structural Funds (OJ L 64, 6.3.2001, p. 13), as amended by Regulation (EC) No 1978/2006 (OJ L 368, 23.12.2006, p. 89), and in particular Article 7(2) thereof.

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1) and in particular Articles 71(4) thereof.

    Commission Regulation (EC, Euratom) No 2342/2002 of 23 December 2002 laying down detailed rules for the implementation of Council Regulation (EC, Euratom) No 1605/2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 357, 31.12.2002, p. 1), as last amended by Regulation (EC, Euratom) No 1248/2006 (OJ L 227, 19.8.2006, p. 3), and in particular Article 86 thereof.

    7 0 1   Interest on late payments and other interest on fines

    Financial year 2007

    Financial year 2006

    Financial year 2005

    15 000 000

    100 000 000

    44 931 534,34

    This article is intended to record interest on late payments and other interest on fines.

    Legal basis

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1) and in particular Article 71(4) thereof.

    Commission Regulation (EC, Euratom) No 2342/2002 of 23 December 2002 laying down detailed rules for the implementation of Council Regulation (EC, Euratom) No 1605/2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 357, 31.12.2002, p. 1), as last amended by Regulation (EC, Euratom) No 1248/2006 (OJ L 227, 19.8.2006, p. 3), and in particular Article 86 thereof.

    Council Regulation (EC) No 1/2003 of 16 December 2002 on the implementation of the rules on competition laid down in Articles 81 and 82 of the Treaty (OJ L 1, 4.1.2003, p. 1), as last amended by Regulation (EC) No 1419/2006 (OJ L 269, 28.9.2006, p. 1).

    Council Regulation (EC) No 139/2004 of 20 January 2004 on the control of concentrations between undertakings (OJ L 24, 29.1.2004, p. 1) and in particular Articles 14 and 15 thereof.

    CHAPTER 7 1 —   FINES

    7 1 0   Fines, periodic penalty payments and other penalties

    Financial year 2007

    Financial year 2006

    Financial year 2005

    100 000 000

    744 000 000

    236 336 568,09

    Legal basis

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    Commission Regulation (EC, Euratom) No 2342/2002 of 23 December 2002 laying down detailed rules for the implementation of Council Regulation (EC, Euratom) No 1605/2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 357, 31.12.2002, p. 1), as last amended by Regulation (EC, Euratom) No 1248/2006 (OJ L 227, 19.8.2006, p. 3).

    Council Regulation (EC) No 1/2003 of 16 December 2002 on the implementation of the rules on competition laid down in Articles 81 and 82 of the Treaty (OJ L 1, 4.1.2003, p. 1), as last amended by Regulation (EC) No 1419/2006 (OJ L 269, 28.9.2006, p. 1).

    Council Regulation (EC) No 139/2004 of 20 January 2004 on the control of concentrations between undertakings (OJ L 24, 29.1.2004, p. 1) and in particular Articles 14 and 15 thereof.

    7 1 1   Collection of fines imposed for fraud and irregularities which are damaging to the Community's financial interests

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Legal basis

    Council Regulation (EEC) No 2913/92 of 12 October 1992 establishing the Community Customs Code (OJ L 302, 19.10.1992, p. 1), as last amended by Regulation (EC) No 648/2005 of the European Parliament and of the Council (OJ L 117, 4.5.2005, p. 13).

    Decision No 105/2000/EC of the European Parliament and of the Council of 17 December 1999 amending Decision No 210/97/EC of 19 December 1996 adopting an action programme for customs in the Community (Customs 2000) (OJ L 13, 19.1.2000, p. 1).

    Council Decision 2000/597/EC, Euratom of 29 September 2000 on the system of the European Communities’ own resources (OJ L 253, 7.10.2000, p. 42).

    7 1 2   Penalty payments and lump sums imposed on a Member State for not complying with a judgment of the Court of Justice on its failure to fulfil an obligation under the Treaty

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    58 000 000

    20 000 000,—

    Reference acts

    Treaty establishing the European Community, and in particular Article 228(2) (former Article 171(2)) thereof, introduced by the Treaty on European Union (Article G(51)).

    CHAPTER 7 2 —   INTEREST ON DEPOSITS AND FINES

    7 2 0   Interest on deposits and fines

    7 2 0 0   Interest on deposits and fines resulting from the implementation of the excessive deficit procedure — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Revenue arising from interest on deposits and fines resulting from implementation of the excessive deficit procedure.

    Legal basis

    Council Regulation (EC) No 1467/97 of 7 July 1997 on speeding up and clarifying the implementation of the excessive deficit procedure (OJ L 209, 2.8.1997, p. 6), as amended by Regulation (EC) No 1056/2005 (OJ L 174, 7.7.2005, p. 5), and in particular Article 16 thereof.

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1) and in particular Article 18(1)(b) thereof.

    TITLE 8

    BORROWING-AND-LENDING OPERATIONS

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 8 0

    8 0 0

    European Community guarantee for Community loans raised for balance of payments support

    p.m.

    p.m.

    0,—

    8 0 1

    European Community guarantee for Euratom loans raised

    p.m.

    p.m.

    0,—

    8 0 2

    European Community guarantee for loans raised to promote investments in the Community (new Community instrument)

    p.m.

    0,—

     

    CHAPTER 8 0 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 8 1

    8 1 0

    Capital repayments and interest in respect of special loans and risk capital granted in the framework of financial cooperation with Mediterranean non-member countries

    25 284 905

    56 401 054

    38 478 934,01

    8 1 1

    Capital repayments and interest in respect of loans granted by the Commission to improve housing for migrant workers

    p.m.

    13 663,09

    8 1 3

    Capital repayments and interest in respect of loans and risk capital granted by the Commission to developing countries in Latin America, Asia, the Mediterranean region and South Africa under the European Community Investment Partners operation

    p.m.

    p.m.

    81,50

    8 1 4

    Capital repayments and interest in respect of loans granted to the countries most directly affected by the Gulf crisis

    p.m.

    p.m.

    0,—

     

    CHAPTER 8 1 — TOTAL

    25 284 905

    56 401 054

    38 492 678,60

     

    CHAPTER 8 2

    8 2 0

    European Community guarantee for the borrowing programmes contracted by the Community to provide financial assistance to non-member countries of the Mediterranean basin

    p.m.

    0,—

    8 2 1

    European Community guarantee for a borrowing contracted by the Community to provide financial assistance to non-member countries of central and eastern Europe

    p.m.

    0,—

    8 2 3

    European Community guarantee for the borrowing programmes contracted by the Community to provide financial assistance to the Commonwealth of Independent States and Mongolia

    p.m.

    0,—

    8 2 5

    European Community guarantee for the borrowing programmes contracted by the Community to provide financial assistance to the countries of the western Balkans

    p.m.

    0,—

    8 2 6

    European Community guarantee for Euratom borrowings to improve the degree of efficiency and safety of nuclear power stations in the countries of central and eastern Europe and the Commonwealth of Independent States

    p.m.

    0,—

    8 2 7

    European Community guarantee for the borrowing programmes contracted by the Community to provide macro-financial assistance to third countries

    p.m.

     

     

    8 2 8

    Guarantee for Euratom borrowings to improve the degree of efficiency and safety of nuclear power stations in the countries of central and eastern Europe and the Commonwealth of Independent States

    p.m.

     

     

     

    CHAPTER 8 2 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 8 3

    8 3 0

    European Community guarantee for European Investment Bank loans to non-member countries in the Mediterranean region

    p.m.

    0,—

    8 3 1

    European Community guarantee for European Investment Bank loans to countries in central and eastern Europe and the western Balkans

    p.m.

    0,—

    8 3 2

    European Community guarantee for European Investment Bank loans to other non-member countries

    p.m.

    0,—

    8 3 4

    European Community guarantee for European Investment Bank loans to South Africa

    p.m.

    0,—

    8 3 5

    European Community guarantee for European Investment Bank loans to third countries

    p.m.

     

     

     

    CHAPTER 8 3 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 8 5

    8 5 0

    Dividends paid by the European Investment Fund

    p.m.

    2 627 400

    3 264 000,—

     

    CHAPTER 8 5 — TOTAL

    p.m.

    2 627 400

    3 264 000,—

     

    Title 8 — Total

    25 284 905

    59 028 454

    41 756 678,60

    CHAPTER 8 0 —

    REVENUE RESULTING FROM THE EUROPEAN COMMUNITY GUARANTEE FOR BORROWING-AND-LENDING OPERATIONS IN THE MEMBER STATES

    CHAPTER 8 1 —

    LOANS GRANTED BY THE COMMISSION

    CHAPTER 8 2 —

    REVENUE RESULTING FROM THE EUROPEAN COMMUNITY GUARANTEE FOR BORROWING-AND-LENDING OPERATIONS FOR NON-MEMBER COUNTRIES

    CHAPTER 8 3 —

    REVENUE RESULTING FROM THE EUROPEAN COMMUNITY GUARANTEE FOR LOANS GRANTED BY FINANCIAL ESTABLISHMENTS IN NON-MEMBER COUNTRIES

    CHAPTER 8 5 —

    REVENUE FROM CONTRIBUTIONS BY GUARANTEE BODIES

    CHAPTER 8 0 —   REVENUE RESULTING FROM THE EUROPEAN COMMUNITY GUARANTEE FOR BORROWING-AND-LENDING OPERATIONS IN THE MEMBER STATES

    8 0 0   European Community guarantee for Community loans raised for balance of payments support

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    The Community guarantee is for loans raised on the capital markets or from financial institutions. The amount in principal of loans which may then be granted to the Member States is limited to EUR 12 000 000 000.

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 01 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing-and-lending operations, including debt management, in capital and interest, is given in the Annex Part II of Section III.

    Legal basis

    Council Regulation (EC) No 332/2002 of 18 February 2002 establishing a facility providing medium-term financial assistance for Member States’ balances of payment (OJ L 53, 23.2.2002, p. 1).

    8 0 1   European Community guarantee for Euratom loans raised

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 02 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing-and-lending operations, including debt management, in capital and interest, is given in the Annex Part II of Section III.

    Legal basis

    Council Decision 77/270/Euratom of 29 March 1977 empowering the Commission to issue Euratom loans for the purpose of contributing to the financing of nuclear power stations (OJ L 88, 6.4.1977, p. 9).

    Council Decision 77/271/Euratom of 29 March 1977 on the implementation of Decision 77/270/Euratom empowering the Commission to issue Euratom loans for the purpose of contributing to the financing of nuclear power stations (OJ L 88, 6.4.1977, p. 11).

    Council Decision 80/29/Euratom of 20 December 1979 amending Decision 77/271/Euratom on the implementation of Decision 77/270/Euratom empowering the Commission to contract Euratom loans for the purpose of contributing to the financing of nuclear power stations (OJ L 12, 17.1.1980, p. 28).

    Council Decision 82/170/Euratom of 15 March 1982 amending Decision 77/271/Euratom as regards the total amount of Euratom loans which the Commission is empowered to contract for the purpose of contributing to the financing of nuclear power stations (OJ L 78, 24.3.1982, p. 21).

    Council Decision 85/537/Euratom of 5 December 1985 amending Decision 77/271/Euratom as regards the total amount of Euratom loans which the Commission is empowered to contract for the purpose of contributing to the financing of nuclear power stations (OJ L 334, 12.12.1985, p. 23).

    Council Decision 90/212/Euratom of 23 April 1990 amending Decision 77/271/Euratom on the implementation of Decision 77/270/Euratom empowering the Commission to issue Euratom loans for the purpose of contributing to the financing of nuclear power stations (OJ L 112, 3.5.1990, p. 26).

    Council Decision 94/179/Euratom of 21 March 1994, amending Decision 77/270/Euratom to authorise the Commission to contract Euratom borrowings in order to contribute to the financing required for improving the degree of efficiency and safety of nuclear power stations in certain non-member countries (OJ L 84, 29.3.1994, p. 41).

    8 0 2   European Community guarantee for loans raised to promote investments in the Community (new Community instrument)

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    0,—

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 03 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    The last borrowing/loan under this instrument was fully reimbursed in December 2004.

    A summary of borrowing and lending operations, including debt management, in capital and interest, is given in the Annex ‘Part II — Borrowing and lending operations’ of Section III.

    CHAPTER 8 1 —   LOANS GRANTED BY THE COMMISSION

    8 1 0   Capital repayments and interest in respect of special loans and risk capital granted in the framework of financial cooperation with Mediterranean non-member countries

    Financial year 2007

    Financial year 2006

    Financial year 2005

    25 284 905

    56 401 054

    38 478 934,01

    This article is intended to record capital repayments and interest payments on special loans and risk capital granted from the appropriations in Chapters 22 03, 19 08 and 19 01 of the statement of expenditure of Section III ‘Commission’ to Mediterranean non-member countries.

    The revenue obtained normally exceeds the amounts forecast in the budget because of the interest payments on special loans and risk capital which may still be disbursed during the preceding financial year as well as during the current financial year. The interest on special loans and risk capital is charged from the moment the loans are disbursed; interest on special loans is paid in six-monthly instalments, and interest on risk capital generally in annual instalments.

    8 1 1   Capital repayments and interest in respect of loans granted by the Commission to improve housing for migrant workers

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    13 663,09

    The loans granted to migrant workers forming part of the appropriation under Article 04 04 03 of the statement of expenditure of Section III ‘Commission’ yielded interest and gave rise to capital repayments.

    The date of the final payment of capital and interest, according to the payment schedule, was 31 December 2005.

    8 1 3   Capital repayments and interest in respect of loans and risk capital granted by the Commission to developing countries in Latin America, Asia, the Mediterranean region and South Africa under the European Community Investment Partners operation

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    81,50

    This article is intended to record capital repayments and interest payment on loans and risk capital granted from the appropriations in Item 19 08 01 01 of the statement of expenditure of Section III ‘Commission’ under the European Communities Investment Partners operation.

    Legal basis

    Regulation (EC) No 772/2001 of the European Parliament and of the Council of 4 April 2001 regarding the closure and liquidation of projects adopted by the Commission under Council Regulation (EC) No 213/96 on the implementation of the European Communities Investment Partners Financial Instrument for the countries of Latin America, Asia, the Mediterranean region and South Africa (OJ L 112, 21.4.2001, p. 1).

    8 1 4   Capital repayments and interest in respect of loans granted to the countries most directly affected by the Gulf crisis

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Council Regulation (EEC) No 3557/90 of 4 December 1990 on financial assistance for the countries most directly affected by the Gulf crisis (OJ L 347, 12.12.1990, p. 1).

    CHAPTER 8 2 —   REVENUE RESULTING FROM THE EUROPEAN COMMUNITY GUARANTEE FOR BORROWING-AND-LENDING OPERATIONS FOR NON-MEMBER COUNTRIES

    8 2 0   European Community guarantee for the borrowing programmes contracted by the Community to provide financial assistance to non-member countries of the Mediterranean basin

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    0,—

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 04 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing and lending operations, including debt management, in capital and interest, is given in the Annex ‘Part II — Borrowing and lending operations’ of Section III.

    8 2 1   European Community guarantee for a borrowing contracted by the Community to provide financial assistance to non-member countries of central and eastern Europe

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    0,—

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 05 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing and lending operations, including debt management, in capital and interest, is given in the Annex ‘Part II — Borrowing and lending operations’ of Section III.

    Legal basis

    Council Decision 97/472/EC of 22 July 1997 providing macro-financial assistance for Bulgaria (OJ L 200, 29.7.1997, p. 61).

    Council Decision 1999/731/EC of 8 November 1999 providing supplementary macro-financial assistance to Bulgaria (OJ L 294, 16.11.1999, p. 27).

    Council Decision 1999/732/EC of 8 November 1999 providing supplementary macro-financial assistance to Romania (OJ L 294, 16.11.1999, p. 29).

    8 2 3   European Community guarantee for the borrowing programmes contracted by the Community to provide financial assistance to the Commonwealth of Independent States and Mongolia

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    0,—

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 06 of the statement of expenditure in section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    Legal basis

    Council Decision 95/442/EC of 23 October 1995 providing further macro-financial assistance for Ukraine (OJ L 258, 28.10.1995, p. 63).

    Council Decision 96/242/EC of 25 March 1996 providing further macro-financial assistance for Moldova (OJ L 80, 30.3.1996, p. 60).

    Council Decision 97/787/EC of 17 November 1997 providing exceptional financial assistance for Armenia and Georgia (OJ L 322, 25.11.1997, p. 37).

    Council Decision 98/592/EC of 15 October 1998 providing supplementary macro-financial assistance for Ukraine (OJ L 284, 22.10.1998, p. 45).

    Council Decision 2000/244/EC of 20 March 2000 amending Decision 97/787/EC providing exceptional financial assistance for Armenia and Georgia in order to extend it to Tajikistan (OJ L 77, 28.3.2000, p. 11).

    Council Decision 2002/639/EC of 12 July 2002 providing supplementary macro-financial assistance to Ukraine (OJ L 209, 6.8.2002, p. 22).

    8 2 5   European Community guarantee for the borrowing programmes contracted by the Community to provide financial assistance to the countries of the western Balkans

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    0,—

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 07 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing and lending operations, including debt management, in capital and interest, is given in the Annex ‘Part II — Borrowing and lending operations’ of Section III.

    Legal basis

    Council Decision 97/471/EC of 22 July 1997 providing macro-financial assistance for the former Yugoslav Republic of Macedonia (OJ L 200, 29.7.1997, p. 59).

    Council Decision 1999/325/EC of 10 May 1999 providing macro-financial assistance to Bosnia and Herzegovina (OJ L 123, 13.5.1999, p. 57).

    Council Decision 1999/733/EC of 8 November 1999 providing supplementary macro-financial assistance to the former Yugoslav Republic of Macedonia (OJ L 294, 16.11.1999, p. 31).

    Council Decision 2001/549/EC of 16 July 2001 providing macro-financial assistance to the Federal Republic of Yugoslavia (OJ L 197, 21.7.2001, p. 38).

    Council Decision 2002/882/EC of 5 November 2002 providing further macro-financial assistance to the Federal Republic of Yugoslavia (OJ L 308, 9.11.2002, p. 25).

    Council Decision 2002/883/EC of 5 November 2002 providing further macro-financial assistance to Bosnia and Herzegovina (OJ L 308, 9.11.2002, p. 28).

    Council Decision 2003/825/EC of 25 November 2003 amending Decision 2002/882/EC providing further macro-financial assistance to the Federal Republic of Yugoslavia with regard to additional macro-financial assistance to Serbia and Montenegro (OJ L 311, 27.11.2003, p. 28), amended by Council Decision 2004/862/EC (OJ L 370, 17.12.2004, p. 81).

    Council Decision 2004/580/CE of 29 April 2004 providing macro-financial assistance to Albania and repealing Decision 1999/282/EC (OJ L 261, 6.8.2004, p. 116).

    8 2 6   European Community guarantee for Euratom borrowings to improve the degree of efficiency and safety of nuclear power stations in the countries of central and eastern Europe and the Commonwealth of Independent States

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    0,—

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 08 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing and lending operations, including debt management, in capital and interest, is given in the Annex ‘Part II — borrowing and lending operations’ of Section III.

    Legal basis

    Council Decision 94/179/Euratom of 21 March 1994, amending Decision 77/270/Euratom to authorise the Commission to contract Euratom borrowings in order to contribute to the financing required for improving the degree of efficiency and safety of nuclear power stations in certain non-member countries (OJ L 84, 29.3.1994, p. 41).

    For the legal base for Euratom loans, see remarks for Article 8 0 1.

    8 2 7   European Community guarantee for the borrowing programmes contracted by the Community to provide macro-financial assistance to third countries

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New article

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 04 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing and lending operations, including debt management, in capital and interest, is given in the Annex ‘Part II — Borrowing and lending operations’ of Section III.

    Legal basis

    Council Decision 95/442/EC of 23 October 1995 providing further macro-financial assistance for Ukraine (OJ L 258, 28.10.1995, p. 63).

    Council Decision 96/242/EC of 25 March 1996 providing further macro-financial assistance for Moldova (OJ L 80, 30.3.1996, p. 60).

    Council Decision 97/471/EC of 22 July 1997 providing macro-financial assistance for the former Yugoslav Republic of Macedonia (OJ L 200, 29.7.1997, p. 59).

    Council Decision 97/472/EC of 22 July 1997 providing macro-financial assistance for Bulgaria (OJ L 200, 29.7.1997, p. 61).

    Council Decision 97/787/EC of 17 November 1997 providing exceptional financial assistance for Armenia and Georgia (OJ L 322, 25.11.1997, p. 37).

    Council Decision 98/592/EC of 15 October 1998 providing supplementary macro-financial assistance for Ukraine (OJ L 284, 22.10.1998, p. 45).

    Council Decision 1999/325/EC of 10 May 1999 providing macro-financial assistance to Bosnia and Herzegovina (OJ L 123, 13.5.1999, p. 57).

    Council Decision 1999/731/EC of 8 November 1999 providing supplementary macro-financial assistance to Bulgaria (OJ L 294, 16.11.1999, p. 27).

    Council Decision 1999/732/EC of 8 November 1999 providing supplementary macro-financial assistance to Romania (OJ L 294, 16.11.1999, p. 29).

    Council Decision 1999/733/EC of 8 November 1999 providing supplementary macro-financial assistance to the former Yugoslav Republic of Macedonia (OJ L 294, 16.11.1999, p. 31).

    Council Decision 2000/244/EC of 20 March 2000 amending Decision 97/787/EC providing exceptional financial assistance for Armenia and Georgia in order to extend it to Tajikistan (OJ L 77, 28.3.2000, p. 11).

    Council Decision 2001/549/EC of 16 July 2001 providing macro-financial assistance to the Federal Republic of Yugoslavia (OJ L 197, 21.7.2001, p. 38).

    Council Decision 2002/639/EC of 12 July 2002 providing supplementary macro-financial assistance to Ukraine (OJ L 209, 6.8.2002, p. 22).

    Council Decision 2002/882/EC of 5 November 2002 providing further macro-financial assistance to the Federal Republic of Yugoslavia (OJ L 308, 9.11.2002, p. 25).

    Council Decision 2002/883/EC of 5 November 2002 providing further macro-financial assistance to Bosnia and Herzegovina (OJ L 308, 9.11.2002, p. 28).

    Council Decision 2003/825/EC of 25 November 2003 amending Decision 2002/882/EC providing further macro-financial assistance to the Federal Republic of Yugoslavia with regard to additional macro-financial assistance to Serbia and Montenegro (OJ L 311, 27.11.2003, p. 28), amended by Council Decision 2004/862/EC (OJ L 370, 17.12.2004, p. 81).

    Council Decision 2004/580/CE of 29 April 2004 providing macro-financial assistance to Albania and repealing Decision 1999/282/EC (OJ L 261, 6.8.2004, p. 116).

    8 2 8   Guarantee for Euratom borrowings to improve the degree of efficiency and safety of nuclear power stations in the countries of central and eastern Europe and the Commonwealth of Independent States

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New article

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 05 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing and lending operations, including debt management, in capital and interest, is given in the Annex ‘Part II — Borrowing and lending operations’ of Section III.

    Legal basis

    Council Decision 94/179/Euratom of 21 March 1994, amending Decision 77/270/Euratom to authorise the Commission to contract Euratom borrowings in order to contribute to the financing required for improving the degree of efficiency and safety of nuclear power stations in certain non-member countries (OJ L 84, 29.3.1994, p. 41).

    For the legal basis for Euratom loans, see also Article 8 0 1.

    CHAPTER 8 3 —   REVENUE RESULTING FROM THE EUROPEAN COMMUNITY GUARANTEE FOR LOANS GRANTED BY FINANCIAL ESTABLISHMENTS IN NON-MEMBER COUNTRIES

    8 3 0   European Community guarantee for European Investment Bank loans to non-member countries in the Mediterranean region

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    0,—

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 09 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing and lending operations, including debt management, in capital and interest, is given in the Annex ‘Part II — Borrowing and lending operations’ of Section III.

    Legal basis

    Council Decision of 8 March 1977 (Mediterranean Protocols).

    Council Regulation (EEC) No 2210/78 of 26 September 1978 concerning the conclusion of the Cooperation Agreement between the European Economic Community and the People's Democratic Republic of Algeria (OJ L 263, 27.9.1978, p. 1).

    Council Regulation (EEC) No 2211/78 of 26 September 1978 concerning the conclusion of the Cooperation Agreement between the European Economic Community and the Kingdom of Morocco (OJ L 264, 27.9.1978, p. 1).

    Council Regulation (EEC) No 2212/78 of 26 September 1978 concerning the conclusion of the Cooperation Agreement between the European Economic Community and the Republic of Tunisia (OJ L 265, 27.9.1978, p. 1).

    Council Regulation (EEC) No 1273/80 of 23 May 1980 on the conclusion of the interim Protocol between the European Economic Community and the Socialist Federal Republic of Yugoslavia on the advance implementation of Protocol 2 to the Cooperation Agreement (OJ L 130, 27.5.1980, p. 98).

    Council Decision of 19 July 1982 (further exceptional aid for the reconstruction of Lebanon).

    Council Regulation (EEC) No 3177/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the People's Democratic Republic of Algeria (OJ L 337, 29.11.1982, p. 1).

    Council Regulation (EEC) No 3178/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Arab Republic of Egypt (OJ L 337, 29.11.1982, p. 8).

    Council Regulation (EEC) No 3179/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Hashemite Kingdom of Jordan (OJ L 337, 29.11.1982, p. 15).

    Council Regulation (EEC) No 3180/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Lebanese Republic (OJ L 337, 29.11.1982, p. 22).

    Council Regulation (EEC) No 3181/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Kingdom of Morocco (OJ L 337, 29.11.1982, p. 29).

    Council Regulation (EEC) No 3182/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Syrian Arab Republic (OJ L 337, 29.11.1982, p. 36).

    Council Regulation (EEC) No 3183/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Republic of Tunisia (OJ L 337, 29.11.1982, p. 43).

    Council Regulation (EEC) No 3354/83 of 22 November 1983 on the conclusion of a Protocol relating to financial cooperation between the European Economic Community and the State of Israel (OJ L 335, 30.11.1983, p. 7).

    Council Regulation (EEC) No 787/84 of 26 March 1984 on the conclusion of a Protocol relating to financial and technical cooperation between the European Economic Community and the Republic of Cyprus (OJ L 85, 28.3.1984, p. 37).

    Council Decision of 9 October 1984 (loan outside the Yugoslavia Protocol).

    Council Decision 87/604/EEC of 21 December 1987 concerning the conclusion of the Second Protocol on financial cooperation between the European Economic Community and the Socialist Federal Republic of Yugoslavia (OJ L 389, 31.12.1987, p. 65).

    Council Decision 88/30/EEC of 21 December 1987 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the People's Democratic Republic of Algeria (OJ L 22, 27.1.1988, p. 1).

    Council Decision 88/31/EEC of 21 December 1987 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Arab Republic of Egypt (OJ L 22, 27.1.1988, p. 9).

    Council Decision 88/32/EEC of 21 December 1987 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Hashemite Kingdom of Jordan (OJ L 22, 27.1.1988, p. 17).

    Council Decision 88/33/EEC of 21 December 1987 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Lebanese Republic (OJ L 22, 27.1.1988, p. 25).

    Council Decision 88/34/EEC of 21 December 1987 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Republic of Tunisia (OJ L 22, 27.1.1988, p. 33).

    Council Decision 88/453/EEC of 30 June 1988 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Kingdom of Morocco (OJ L 224, 13.8.1988, p. 32).

    Council Decision 88/597/EEC of 21 November 1988 on the conclusion of a Protocol on financial cooperation between the European Economic Community and the State of Israel (OJ L 327, 30.11.1988, p. 51).

    Council Decision 89/378/EEC of 12 June 1989 concerning the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and Malta (OJ L 180, 27.6.1989, p. 46).

    Council Decision 90/153/EEC of 26 February 1990 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Republic of Cyprus (OJ L 82, 29.3.1990, p. 32).

    Council Decision 92/44/EEC of 19 December 1991 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Republic of Tunisia (OJ L 18, 25.1.1992, p. 34).

    Council Decision 92/206/EEC of 16 March 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the People's Democratic Republic of Algeria (OJ L 94, 8.4.1992, p. 13).

    Council Decision 92/207/EEC of 16 March 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Arab Republic of Egypt (OJ L 94, 8.4.1992, p. 21).

    Council Decision 92/208/EEC of 16 March 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Hashemite Kingdom of Jordan (OJ L 94, 8.4.1992, p. 29).

    Council Decision 92/209/EEC of 16 March 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Lebanese Republic (OJ L 94, 8.4.1992, p. 37).

    Council Decision 92/210/EEC of 16 March 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the State of Israel (OJ L 94, 8.4.1992, p. 45).

    Council Regulation (EEC) No 1763/92 of 29 June 1992 concerning financial cooperation in respect of all Mediterranean non-member countries (OJ L 181, 1.7.1992, p. 5).

    Council Decision 92/548/EEC of 16 November 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Kingdom of Morocco (OJ L 352, 2.12.1992, p. 13).

    Council Decision 92/549/EEC of 16 November 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Syrian Arab Republic (OJ L 352, 2.12.1992, p. 21).

    Council Decision 93/408/EEC of 19 July 1993 on the conclusion of a Protocol on financial cooperation between the European Economic Community and the Republic of Slovenia (OJ L 189, 29.7.1993, p. 152).

    Council Decision 94/67/EC of 24 January 1994 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Syrian Arab Republic (OJ L 32, 5.2.1994, p. 44).

    Council Decision 95/484/EC of 30 October 1995 on the conclusion of a Protocol on financial and technical cooperation between the European Community and the Republic of Malta (OJ L 278, 21.11.1995, p. 14).

    Council Decision 95/485/EC of 30 October 1995 on the conclusion of a Protocol on financial and technical cooperation between the European Community and the Republic of Cyprus (OJ L 278, 21.11.1995, p. 22).

    Council Decision 97/256/EC of 14 April 1997 granting a Community guarantee to the European Investment Bank against losses under loans for projects outside the Community (central and east European countries, Mediterranean countries, Latin American and Asian countries, South Africa, the former Yugoslav Republic of Macedonia and Bosnia and Herzegovina) (OJ L 102, 19.4.1997, p. 33), as last amended by Regulation (EC) No 2666/2000 (OJ L 306, 7.12.2000, p. 1).

    Council Decision 1999/786/EC of 29 November 1999 granting a Community guarantee to the European Investment Bank (EIB) against losses under loans for projects for the reconstruction of the earthquake-stricken areas of Turkey (OJ L 308, 3.12.1999, p. 35).

    Council Decision 2000/24/EC of 22 December 1999 granting a Community guarantee to the European Investment Bank against losses under loans for projects outside the Community (central and eastern Europe, Mediterranean countries, Latin America and Asia and the Republic of South Africa) (OJ L 9, 13.1.2000, p. 24).

    Council Decision 2000/788/EC of 4 December 2000 amending Decision 2000/24/EC so as to establish a European Investment Bank special action programme in support of the consolidation and intensification of the EC-Turkey customs union (OJ L 314, 14.12.2000, p. 27).

    Council Decision 2005/47/EC of 22 December 2004 amending Decision 2000/24/EC to take into account the enlargement of the European Union and the European Neighbourhood Policy (OJ L 21, 25.1.2005, p. 9).

    8 3 1   European Community guarantee for European Investment Bank loans to countries in central and eastern Europe and the western Balkans

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    0,—

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 10 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing and lending operations, including debt management, in capital and interest, is given in the Annex ‘Part II — Borrowing and lending operations’ of Section III.

    Legal basis

    Council Decision 90/62/EEC of 12 February 1990 granting a Community guarantee to the European Investment Bank against losses under loans for projects in Hungary and Poland (OJ L 42, 16.2.1990, p. 68).

    Council Decision 91/252/EEC of 14 May 1991 extending to Czechoslovakia, Bulgaria and Romania Decision 90/62/EEC granting the Community guarantee to the European Investment Bank against losses under loans for projects in Hungary and Poland (OJ L 123, 18.5.1991, p. 44).

    Council Decision 93/166/EEC of 15 March 1993 granting a Community guarantee to the European Investment Bank against losses under loans for projects in Estonia, Latvia and Lithuania (OJ L 69, 20.3.1993, p. 42).

    Council Decision 93/696/EC of 13 December 1993 granting a Community guarantee to the European Investment Bank against losses under loans for projects in central and eastern European countries (Poland, Hungary, the Czech Republic, the Slovak Republic, Romania, Bulgaria, Estonia, Latvia, Lithuania and Albania) (OJ L 321, 23.12.1993, p. 27).

    Council Decision 97/256/EC of 14 April 1997 granting a Community guarantee to the European Investment Bank against losses under loans for projects outside the Community (central and eastern European countries, Mediterranean countries, Latin American and Asian countries, South Africa, the former Yugoslav Republic of Macedonia and Bosnia and Herzegovina) (OJ L 102, 19.4.1997, p. 33), as last amended by Regulation (EC) No 2666/2000 (OJ L 306, 7.12.2000, p. 1).

    Council Decision 98/348/EC of 19 May 1998 granting a Community guarantee to the European Investment Bank against losses under loans for projects in the former Yugoslav Republic of Macedonia and amending Decision 97/256/EC granting a Community guarantee to the European Investment Bank against losses under loans for projects outside the Community (central and east European countries, Mediterranean countries, Latin American and Asian countries and South Africa) (OJ L 155, 29.5.1998, p. 53).

    Council Decision 98/729/EC of 14 December 1998 amending Decision 97/256/EC so as to extend the Community guarantee granted to the European Investment Bank to cover loans for projects in Bosnia and Herzegovina (OJ L 346, 22.12.1998, p. 54).

    Council Decision 2000/24/EC of 22 December 1999 granting a Community guarantee to the European Investment Bank against losses under loans for projects outside the Community (central and eastern Europe, Mediterranean countries, Latin America and Asia and the Republic of South Africa) (OJ L 9, 13.1.2000, p. 24).

    Council Decision 2000/688/EC of 7 November 2000 amending Decision 2000/24/EC so as to extend the Community guarantee granted to the European Investment Bank to cover loans for projects in Croatia (OJ L 285, 10.11.2000, p. 20).

    Council Decision 2001/778/EC of 6 November 2001 amending Decision 2000/24/EC so as to extend the Community guarantee granted to the European Investment Bank to cover loans for projects in the Federal Republic of Yugoslavia (OJ L 292, 9.11.2001, p. 43).

    Council Decision 2005/47/EC of 22 December 2004 amending Decision 2000/24/EC to take into account the enlargement of the European Union and the European Neighbourhood Policy (OJ L 21, 25.1.2005, p. 9).

    8 3 2   European Community guarantee for European Investment Bank loans to other non-member countries

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    0,—

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 11 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing and lending operations, including debt management, in capital and interest, is given in the Annex ‘Part II — Borrowing and lending operations’ of Section III.

    Legal basis

    Council Decision 93/115/EEC of 15 February 1993 granting a Community guarantee to the European Investment Bank against losses under loans for projects of mutual interest in certain non-member countries (OJ L 45, 23.2.1993, p. 27).

    Council Decision 96/723/EC of 12 December 1996 granting a Community guarantee to the European Investment Bank against losses under loans for projects of mutual interest in Latin American and Asian countries with which the Community has concluded cooperation agreements (OJ L 329, 19.12.1996, p. 45).

    Council Decision 97/256/EC of 14 April 1997 granting a Community guarantee to the European Investment Bank against losses under loans for projects outside the Community (central and east European countries, Mediterranean countries, Latin American and Asian countries, South Africa, the former Yugoslav Republic of Macedonia and Bosnia and Herzegovina) (OJ L 102, 19.4.1997, p. 33), as last amended by Regulation (EC) No 2666/2000 (OJ L 306, 7.12.2000, p. 1).

    Council Decision 2000/24/EC of 22 December 1999 granting a Community guarantee to the European Investment Bank against losses under loans for projects outside the Community (central and eastern Europe, Mediterranean countries, Latin America and Asia and the Republic of South Africa) (OJ L 9, 13.1.2000, p. 24).

    Council Decision 2001/777/EC of 6 November 2001 granting a Community guarantee to the European Investment Bank against losses under a special lending action for selected environmental projects in the Baltic Sea basin of Russia under the Northern Dimension (OJ L 292, 9.11.2001, p. 41).

    Council Decision 2005/47/EC of 22 December 2004 amending Decision 2000/24/EC to take into account the enlargement of the European Union and the European Neighbourhood Policy (OJ L 21, 25.1.2005, p. 9).

    Council Decision 2005/48/EC of 22 December 2004 granting a Community guarantee to the European Investment Bank against losses under loans for certain types of projects in Russia, Ukraine, Moldova and Belarus (OJ L 21, 25.1.2005, p. 11).

    8 3 4   European Community guarantee for European Investment Bank loans to South Africa

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    0,—

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 12 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing and lending operations, including debt management, in capital and interest, is given in the Annex ‘Part II — Borrowing and lending operations’ of Section III.

    Legal basis

    Council Decision 95/207/EC of 1 June 1995 granting a Community guarantee to the European Investment Bank against losses under loans for projects in South Africa (OJ L 131, 15.6.1995, p. 31).

    Council Decision 97/256/EC of 14 April 1997 granting a Community guarantee to the European Investment Bank against losses under loans for projects outside the Community (central and east European countries, Mediterranean countries, Latin American and Asian countries, South Africa, the former Yugoslav Republic of Macedonia and Bosnia and Herzegovina) (OJ L 102, 19.4.1997, p. 33), as last amended by Regulation (EC) No 2666/2000 (OJ L 306, 7.12.2000, p. 1).

    Council Decision 2000/24/EC of 22 December 1999 granting a Community guarantee to the European Investment Bank against losses under loans for projects outside the Community (central and eastern Europe, Mediterranean countries, Latin America and Asia and the Republic of South Africa) (OJ L 9, 13.1.2000, p. 24).

    Council Decision 2005/47/EC of 22 December 2004 amending Decision 2000/24/EC to take into account the enlargement of the European Union and the European Neighbourhood Policy (OJ L 21, 25.1.2005, p. 9).

    8 3 5   European Community guarantee for European Investment Bank loans to third countries

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

     

     

    New article

    This article is intended to record any revenue arising from the exercise of rights in connection with a guarantee under Item 01 04 01 06 of the statement of expenditure in Section III ‘Commission’ provided that this revenue has not been deducted from expenditure.

    A summary of borrowing and lending operations, including debt management, in capital and interest, is given in the Annex ‘Part II — Borrowing and lending operations’ of Section III.

    Legal basis

    Council Decision of 8 March 1977 (Mediterranean Protocols).

    Council Regulation (EEC) No 2210/78 of 26 September 1978 concerning the conclusion of the Cooperation Agreement between the European Economic Community and the People's Democratic Republic of Algeria (OJ L 263, 27.9.1978, p. 1).

    Council Regulation (EEC) No 2211/78 of 26 September 1978 concerning the conclusion of the Cooperation Agreement between the European Economic Community and the Kingdom of Morocco (OJ L 264, 27.9.1978, p. 1).

    Council Regulation (EEC) No 2212/78 of 26 September 1978 concerning the conclusion of the Cooperation Agreement between the European Economic Community and the Republic of Tunisia (OJ L 265, 27.9.1978, p. 1).

    Council Regulation (EEC) No 1273/80 of 23 May 1980 on the conclusion of the interim Protocol between the European Economic Community and the Socialist Federal Republic of Yugoslavia on the advance implementation of Protocol 2 to the Cooperation Agreement (OJ L 130, 27.5.1980, p. 98).

    Council Decision of 19 July 1982 (further exceptional aid for the reconstruction of Lebanon).

    Council Regulation (EEC) No 3177/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the People's Democratic Republic of Algeria (OJ L 337, 29.11.1982, p. 1).

    Council Regulation (EEC) No 3178/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Arab Republic of Egypt (OJ L 337, 29.11.1982, p. 8).

    Council Regulation (EEC) No 3179/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Hashemite Kingdom of Jordan (OJ L 337, 29.11.1982, p. 15).

    Council Regulation (EEC) No 3180/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Lebanese Republic (OJ L 337, 29.11.1982, p. 22).

    Council Regulation (EEC) No 3181/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Kingdom of Morocco (OJ L 337, 29.11.1982, p. 29).

    Council Regulation (EEC) No 3182/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Syrian Arab Republic (OJ L 337, 29.11.1982, p. 36).

    Council Regulation (EEC) No 3183/82 of 22 November 1982 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Republic of Tunisia (OJ L 337, 29.11.1982, p. 43).

    Council Regulation (EEC) No 3354/83 of 22 November 1983 on the conclusion of a Protocol relating to financial cooperation between the European Economic Community and the State of Israel (OJ L 335, 30.11.1983, p. 7).

    Council Regulation (EEC) No 787/84 of 26 March 1984 on the conclusion of a Protocol relating to financial and technical cooperation between the European Economic Community and the Republic of Cyprus (OJ L 85, 28.3.1984, p. 37).

    Council Decision of 9 October 1984 (loan outside the Yugoslavia Protocol).

    Council Decision 87/604/EEC of 21 December 1987 concerning the conclusion of the Second Protocol on financial cooperation between the European Economic Community and the Socialist Federal Republic of Yugoslavia (OJ L 389, 31.12.1987, p. 65).

    Council Decision 88/30/EEC of 21 December 1987 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the People's Democratic Republic of Algeria (OJ L 22, 27.1.1988, p. 1).

    Council Decision 88/31/EEC of 21 December 1987 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Arab Republic of Egypt (OJ L 22, 27.1.1988, p. 9).

    Council Decision 88/32/EEC of 21 December 1987 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Hashemite Kingdom of Jordan (OJ L 22, 27.1.1988, p. 17).

    Council Decision 88/33/EEC of 21 December 1987 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Lebanese Republic (OJ L 22, 27.1.1988, p. 25).

    Council Decision 88/34/EEC of 21 December 1987 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Republic of Tunisia (OJ L 22, 27.1.1988, p. 33).

    Council Decision 88/453/EEC of 30 June 1988 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Kingdom of Morocco (OJ L 224, 13.8.1988, p. 32).

    Council Decision 88/597/EEC of 21 November 1988 on the conclusion of a Protocol on financial cooperation between the European Economic Community and the State of Israel (OJ L 327, 30.11.1988, p. 51).

    Council Decision 89/378/EEC of 12 June 1989 concerning the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and Malta (OJ L 180, 27.6.1989, p. 46).

    Council Decision 90/62/EEC of 12 February 1990 granting a Community guarantee to the European Investment Bank against losses under loans for projects in Hungary and Poland (OJ L 42, 16.2.1990, p. 68).

    Council Decision 90/153/EEC of 26 February 1990 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Republic of Cyprus (OJ L 82, 29.3.1990, p. 32).

    Council Decision 91/252/EEC of 14 May 1991 extending to Czechoslovakia, Bulgaria and Romania Decision 90/62/EEC granting the Community guarantee to the European Investment Bank against losses under loans for projects in Hungary and Poland (OJ L 123, 18.5.1991, p. 44).

    Council Decision 92/44/EEC of 19 December 1991 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Republic of Tunisia (OJ L 18, 25.1.1992, p. 34).

    Council Decision 92/206/EEC of 16 March 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the People's Democratic Republic of Algeria (OJ L 94, 8.4.1992, p. 13).

    Council Decision 92/207/EEC of 16 March 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Arab Republic of Egypt (OJ L 94, 8.4.1992, p. 21).

    Council Decision 92/208/EEC of 16 March 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Hashemite Kingdom of Jordan (OJ L 94, 8.4.1992, p. 29).

    Council Decision 92/209/EEC of 16 March 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Lebanese Republic (OJ L 94, 8.4.1992, p. 37).

    Council Decision 92/210/EEC of 16 March 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the State of Israel (OJ L 94, 8.4.1992, p. 45).

    Council Regulation (EEC) No 1763/92 of 29 June 1992 concerning financial cooperation in respect of all Mediterranean non-member countries (OJ L 181, 1.7.1992, p. 5).

    Council Decision 92/548/EEC of 16 November 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Kingdom of Morocco (OJ L 352, 2.12.1992, p. 13).

    Council Decision 92/549/EEC of 16 November 1992 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Syrian Arab Republic (OJ L 352, 2.12.1992, p. 21).

    Council Decision 93/115/EEC of 15 February 1993 granting a Community guarantee to the European Investment Bank against losses under loans for projects of mutual interest in certain non-member countries (OJ L 45, 23.2.1993, p. 27).

    Council Decision 93/166/EEC of 15 March 1993 granting a Community guarantee to the European Investment Bank against losses under loans for projects in Estonia, Latvia and Lithuania (OJ L 69, 20.3.1993, p. 42).

    Council Decision 93/408/EEC of 19 July 1993 on the conclusion of a Protocol on financial cooperation between the European Economic Community and the Republic of Slovenia (OJ L 189, 29.7.1993, p. 152).

    Council Decision 93/696/EC of 13 December 1993 granting a Community guarantee to the European Investment Bank against losses under loans for projects in central and eastern European countries (Poland, Hungary, the Czech Republic, the Slovak Republic, Romania, Bulgaria, Estonia, Latvia, Lithuania and Albania) (OJ L 321, 23.12.1993, p. 27).

    Council Decision 94/67/EC of 24 January 1994 on the conclusion of a Protocol on financial and technical cooperation between the European Economic Community and the Syrian Arab Republic (OJ L 32, 5.2.1994, p. 44).

    Council Decision 95/207/EC of 1 June 1995 granting a Community guarantee to the European Investment Bank against losses under loans for projects in South Africa (OJ L 131, 15.6.1995, p. 31).

    Council Decision 95/484/EC of 30 October 1995 on the conclusion of a Protocol on financial and technical cooperation between the European Community and the Republic of Malta (OJ L 278, 21.11.1995, p. 14).

    Council Decision 95/485/EC of 30 October 1995 on the conclusion of a Protocol on financial and technical cooperation between the European Community and the Republic of Cyprus (OJ L 278, 21.11.1995, p. 22).

    Council Decision 96/723/EC of 12 December 1996 granting a Community guarantee to the European Investment Bank against losses under loans for projects of mutual interest in Latin American and Asian countries with which the Community has concluded cooperation agreements (OJ L 329, 19.12.1996, p. 45).

    Council Decision 97/256/EC of 14 April 1997 granting a Community guarantee to the European Investment Bank against losses under loans for projects outside the Community (central and eastern European countries, Mediterranean countries, Latin American and Asian countries, South Africa, the former Yugoslav Republic of Macedonia and Bosnia and Herzegovina) (OJ L 102, 19.4.1997, p. 33), as last amended by Regulation (EC) No 2666/2000 (OJ L 306, 7.12.2000, p. 1).

    Council Decision 98/348/EC of 19 May 1998 granting a Community guarantee to the European Investment Bank against losses under loans for projects in the former Yugoslav Republic of Macedonia and amending Decision 97/256/EC granting a Community guarantee to the European Investment Bank against losses under loans for projects outside the Community (central and east European countries, Mediterranean countries, Latin American and Asian countries and South Africa) (OJ L 155, 29.5.1998, p. 53).

    Council Decision 98/729/EC of 14 December 1998 amending Decision 97/256/EC so as to extend the Community guarantee granted to the European Investment Bank to cover loans for projects in Bosnia and Herzegovina (OJ L 346, 22.12.1998, p. 54).

    Council Decision 1999/786/EC of 29 November 1999 granting a Community guarantee to the European Investment Bank (EIB) against losses under loans for projects for the reconstruction of the earthquake-stricken areas of Turkey (OJ L 308, 3.12.1999, p. 35).

    Council Decision 2000/24/EC of 22 December 1999 granting a Community guarantee to the European Investment Bank against losses under loans for projects outside the Community (central and eastern Europe, Mediterranean countries, Latin America and Asia and the Republic of South Africa) (OJ L 9, 13.1.2000, p. 24).

    Council Decision 2000/688/EC of 7 November 2000 amending Decision 2000/24/EC so as to extend the Community guarantee granted to the European Investment Bank to cover loans for projects in Croatia (OJ L 285, 10.11.2000, p. 20).

    Council Decision 2000/788/EC of 4 December 2000 amending Decision 2000/24/EC so as to establish a European Investment Bank special action programme in support of the consolidation and intensification of the EC-Turkey customs union (OJ L 314, 14.12.2000, p. 27).

    Council Decision 2001/777/EC of 6 November 2001 granting a Community guarantee to the European Investment Bank against losses under a special lending action for selected environmental projects in the Baltic Sea basin of Russia under the Northern Dimension (OJ L 292, 9.11.2001, p. 41).

    Council Decision 2001/778/EC of 6 November 2001 amending Decision 2000/24/EC so as to extend the Community guarantee granted to the European Investment Bank to cover loans for projects in the Federal Republic of Yugoslavia (OJ L 292, 9.11.2001, p. 43).

    Council Decision 2005/47/EC of 22 December 2004 amending Decision 2000/24/EC to take into account the enlargement of the European Union and the European Neighbourhood Policy (OJ L 21, 25.1.2005, p. 9).

    Council Decision 2005/48/EC of 22 December 2004 granting a Community guarantee to the European Investment Bank against losses under loans for certain types of projects in Russia, Ukraine, Moldova and Belarus (OJ L 21, 25.1.2005, p. 11).

    CHAPTER 8 5 —   REVENUE FROM CONTRIBUTIONS BY GUARANTEE BODIES

    8 5 0   Dividends paid by the European Investment Fund

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    2 627 400

    3 264 000,—

    This article is intended to receive any dividends paid by the European Investment Fund in respect of this contribution.

    Legal basis

    Council Decision 94/375/EC of 6 June 1994 on Community membership of the European Investment Fund (OJ L 173, 7.7.1994, p. 12).

    TITLE 9

    MISCELLANEOUS REVENUE

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 9 0

    9 0 0

    Miscellaneous revenue

    20 110 000

    30 126 000

    14 149 725,99

     

    CHAPTER 9 0 — TOTAL

    20 110 000

    30 126 000

    14 149 725,99

     

    Title 9 — Total

    20 110 000

    30 126 000

    14 149 725,99

     

    GRAND TOTAL

    115 497 218 621

    107 378 469 621

    107 090 637 948,19

    CHAPTER 9 0 —

    MISCELLANEOUS REVENUE

    CHAPTER 9 0 —   MISCELLANEOUS REVENUE

    9 0 0   Miscellaneous revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    20 110 000

    30 126 000

    14 149 725,99

    This article is intended to receive miscellaneous revenue.

    Parliament

     

    p.m.

    Council

     

    p.m.

    Commission

     

    20 000 000

    Court of Justice

     

    10 000

    Court of Auditors

     

    100 000

    European Economic and Social Committee

     

    p.m.

    Committee of the Regions

     

    p.m.

    Ombudsman

     

    p.m.

    European Data-protection Supervisor

     

    p.m.

     

    Total

    20 110 000

    C. STAFF

    Authorised establishment plan

    Institution

    2007

    2006

    Permanent posts

    Temporary posts

    Permanent posts

    Temporary posts

    European Parliament

    4 998

    935

    4 883

    918

    Council

    3 461

    36

    3 393

    47

    Commission:

     

     

     

     

    — operation

    19 004

    366

    18 205

    366

    — research and technological development

    3 828

    3 792

    — ITER

    60

    85

     

     

    — Publications Office

    655

    635

    — European Anti-fraud Office

    252

    116

    238

    119

    — European Personnel Selection Office

    120

    1

    115

    1

    — Office for the Administration and Payment of Individual Entitlements

    255

    259

    — Office for Infrastructure and Logistics, Brussels

    459

    479

    — Office for Infrastructure and Logistics, Luxembourg

    179

    187

    Court of Justice

    1 453

    429

    1 346

    411

    Court of Auditors

    696

    140

    657

    134

    European Economic and Social Committee

    668

    27

    642

    29

    Committee of the Regions

    431

    35

    425

    34

    European Ombudsman

    13

    44

    13

    44

    European Data-protection Supervisor

    29

    24

    Total

    36 561

    2 214

    35 293

    2 103

    The distribution per category and grade for these members of staff must be kept within the limits shown in the tables on the following pages.

    Section I — Parliament

    Categories and grades.

    2007

    Permanent posts

    Temporary posts

    Others

    Political groups

     

    Non-category

    1

     

     

    AD 16

    9

     

    1

    7

     

    AD 15

    30

     

    1

    3

     

    AD 14

    128

    2

     

    6

    20

     

    AD 13

    72

    8

     

    1

    27

     

    AD 12

    563

     

    7

    62

     

    AD 11

    246

     

    7

    35

     

    AD 10

    92

     

    6

    42

     

    AD 9

    204

     

    2

    14

     

    AD 8

    64

     

    19

    10

     

    AD 7

    78

     

    15

     

    AD 6

    67

     

    23

     

    AD 5

    584

     

    8

    44

     

    AD total

    2 137

    10

     

    58

    302

     

    AST 11

    65

    10

     

    26

     

    AST 10

    165

     

    17

    21

     

    AST 9

    77

     

    9

     

    AST 8

    65

     

    3

    30

     

    AST 7

    657

     

    5

    65

     

    AST 6

    614

     

    6

    80

     

    AST 5

    429

     

    7

    68

     

    AST 4

    300

     

    12

    61

     

    AST 3

    131

     

    1

    62

     

    AST 2

    94

     

    4

    48

     

    AST 1

    263

     

    13

    37

     

    AST total

    2 860

    10

     

    68

    507

     

    Total

    4 998  (14)

    20 (15)

     

    126 (16)

    809

     

    Grand total

    5 933  (17)  (18)  (19)


    Category and grade

    2006

    Permanent posts

    Temporary posts

    Others

    Political groups

     

    Non-category

    1

     

     

    AD 16

    9

     

    1

     

    AD 15

    29

     

    1

    10

     

    AD 14

    127

    1

     

    6

    20

     

    AD 13

    49

     

    1

    19

     

    AD 12

    583

    2

     

    7

    61

     

    AD 11

    246

    4

     

    6

    38

     

    AD 10

    92

    3

     

    5

    47

     

    AD 9

    197

     

    1

    14

     

    AD 8

    45

    4

     

    22

    11

     

    AD 7

    97

     

    11

     

    AD 6

    10

     

    18

     

    AD 5

    565

     

    4

    53

     

    AD total

    2 049

    14

     

    54

    302

     

    AST 11

    55

     

    16

     

    AST 10

    175

    4

     

    17

    30

     

    AST 9

    52

     

    5

     

    AST 8

    60

    2

     

    1

    30

     

    AST 7

    462

    3

     

    7

    56

     

    AST 6

    636

    23

     

    5

    80

     

    AST 5

    621

    5

     

    8

    74

     

    AST 4

    157

    18

     

    18

    53

     

    AST 3

    283

    8

     

    64

     

    AST 2

    99

    2

     

    5

    53

     

    AST 1

    233

     

    1

    39

     

    AST total

    2 833

    65

     

    62

    500

     

    Total

    4 883  (20)

    79  (21)

     

    116  (22)

    802

     

    Grand total

    5 801  (23)  (24)

    Section II — Council

    Category and grade

    Council

    2007

    2006

    Permanent posts

     

    Temporary posts

    Permanent posts

     

    Temporary posts

    Non-category

    2

     

    2

     

    AD 16

    11

     

    11

     

    AD 15

    34 (25)

     

    1

    34 (26)

     

    1

    AD 14

    84 (27)

     

    9

    84 (28)

     

    9

    AD 13

    43

     

    33

     

    AD 12

    320

     

    8

    280

     

    8

    AD 11

    291

     

    12

    332

     

    12

    AD 10

    71

     

    1

    57

     

    1

    AD 9

    101

     

    2

    85

     

    AD 8

    54

     

    180

     

    AD 7

    88

     

    53

     

    AD 6

    80

     

    188

     

    AD 5

    241

     

    69

     

    Total

    1 418

     

    33

    1 406

     

    31

    AST 11

    11

     

    11

     

    AST 10

    47

     

    2

    45

     

    2

    AST 9

    23

     

    21

     

    AST 8

    75

     

    55

     

    AST 7

    133

     

    112

     

    AST 6

    516

     

    1

    519

     

    1

    AST 5

    360

     

    342

     

    13

    AST 4

    320

     

    317

     

    AST 3

    192

     

    159

     

    AST 2

    126

     

    126

     

    AST 1

    238

     

    278

     

    Total

    2 041

     

    3

    1 985

     

    16

    Grand total

    3 461  (29)

     

    36

    3 393  (30)

     

    47

    Section III — Commission

    Commission

    Administration

    Category and grade

    2007

    2006

    Permanent posts

    Of which permanent posts in the Supply Agency

    Temporary posts

    Permanent posts

    Of which permanent posts in the Supply Agency

    Temporary posts

    AD 16

    30

    30

    AD 15

    221 (31)

    22

    219 (32)

    22

    AD 14

    564 (33)  (34)

    2 (35)

    32

    573 (36)  (37)

    2 (38)

    32

    AD 13

    299

    199

    AD 12

    2 282  (39)  (40)

    3

    54

    2 213  (41)  (42)

    3

    54

    AD 11

    1 919  (43)  (44)

    1

    62

    1 921  (45)  (46)

    1

    62

    AD 10

    587

    2

    11

    902

    2

    11

    AD 9

    1 175

    738

    AD 8

    612

    2

    1 022

    2

    AD 7

    430

    301

    AD 6

    337

    268

    AD 5

    1 631

    1 104

    Total grade AD

    10 087

    8

    183

    9 490

    8

    183

    AST 11

    98

    60

    AST 10

    377

    1

    20

    505

    1

    20

    AST 9

    271

    143

    AST 8

    636 (47)

    2

    12

    634 (48)

    2

    12

    AST 7

    812

    1

    28

    918

    1

    28

    AST 6

    1 667

    9

    39

    1 561

    9

    39

    AST 5

    1 252

    1

    42

    1 554

    1

    42

    AST 4

    1 244

    20

    1 251

    20

    AST 3

    1 585

    2

    9

    1 180

    2

    9

    AST 2

    76

    13

    405

    13

    AST 1

    899

    504

    Total grade AST

    8 917

    16

    183

    8 715

    16

    183

    Grand total

    19 004  (49)

    24

    366

    18 205  (50)

    24

    366

    Total staff

    19 370

    18 571


    Research and technological development — Joint Research Centre

    Category and grade

    2007

    2006

    Permanent posts

    Temporary posts

    Permanent posts

    Temporary posts

    AD 16

    2 (51)

    2 (52)

    AD 15

    10

    10

    AD 14

    36

    36

    AD 13

    9

    9

    AD 12

    204

    166

    AD 11

    178

    178

    AD 10

    166

    174

    AD 9

    30

    18

    AD 8

    69

    81

    AD 7

    10

    36

    AD 6

    94

    81

    AD 5

    60

    64

    Total grade AD

    868

    855

    AST 11

    14

    9

    AST 10

    69

    69

    AST 9

    42

    22

    AST 8

    106

    106

    AST 7

    124

    124

    AST 6

    243

    268

    AST 5

    122

    114

    AST 4

    135

    171

    AST 3

    151

    99

    AST 2

    35

    77

    AST 1

    48

    30

    Total grade AST

    1 089

    1 089

    Grand total

    1 957

    1 944

    Total staff

    1 957

    1 944


    Research and technological development — Indirect action

    Category and grade

    2007

    2006

    Permanent posts

    Temporary posts

    Permanent posts

    Temporary posts

    AD 16

    1

    1

    AD 15

    19 (53)

    19 (54)

    AD 14

    64 (55)

    74 (56)

    AD 13

    33

    24

    AD 12

    332

    318

    AD 11

    238

    247

    AD 10

    143

    172

    AD 9

    39

    20

    AD 8

    65

    86

    AD 7

    14

    16

    AD 6

    78

    25

    AD 5

    48

    49

    Total grade AD

    1 074

    1 051

    AST 11

    5

    4

    AST 10

    33

    42

    AST 9

    21

    7

    AST 8

    72

    57

    AST 7

    89

    77

    AST 6

    130

    142

    AST 5

    106

    127

    AST 4

    132

    122

    AST 3

    135

    133

    AST 2

    39

    61

    AST 1

    35

    25

    Total grade AST

    797

    797

    Grand total

    1 871

    1 848

    Total staff

    1 871

    1 848


    European Joint Undertaking ITER (International Thermonuclear Experimental Reactor)

    Category and grade

    2007

    2006

    Permanent posts

    Temporary posts

    Permanent posts

    Temporary posts

    AD 16

    AD 15

    AD 14

    2

    1

    AD 13

    AD 12

    7

    2

    AD 11

    10

    3

    AD 10

    14

    4

    AD 9

    8

    3

    AD 8

    8

    12

    AD 7

    2

    10

    AD 6

    11

    AD 5

    8

    Total grade AD

    51

    54

    AST 11

    AST 10

    1

    AST 9

    AST 8

    1

    AST 7

    2

    AST 6

    1

    4

    AST 5

    1

    5

    AST 4

    1

    9

    AST 3

    2

    11

    AST 2

    1

    AST 1

    1

    Total grade AST

    9

    31

    Grand total

    60

    85

    Total staff

    145

    Publications Office

    Category and grade

    Publications Office

    2007

    2006

    Permanent posts

    Temporary posts

    Permanent posts

    Temporary posts

    AD 16

    1

    1

    AD 15

    3

    3

    AD 14

    8

    8

    AD 13

    1

    1

    AD 12

    8

    8

    AD 11

    13

    13

    AD 10

    12

    12

    AD 9

    4

    4

    AD 8

    19

    19

    AD 7

    AD 6

    3

    3

    AD 5

    10

    8

    Total grade AD

    82

    80

    AST 11

    3

    3

    AST 10

    44

    44

    AST 9

    4

    4

    AST 8

    45

    45

    AST 7

    70

    69

    AST 6

    97

    98

    AST 5

    72

    72

    AST 4

    56

    56

    AST 3

    148

    130

    AST 2

    32

    32

    AST 1

    2

    2

    Total grade AST

    573

    555

    Grand total

    655  (57)  (58)

    635  (59)  (60)

    European Anti-fraud Office (OLAF)

    Category and grade

    European Anti-fraud Office (OLAF)

    2007

    2006

    Permanent posts

    Temporary posts

    Permanent posts

    Temporary posts

    AD 16

    1

    1

    AD 15

    2

    3

    2

    3

    AD 14

    5

    4

    5

    4

    AD 13

    3

    1

    AD 12

    14

    21

    13

    21

    AD 11

    16

    13

    16

    13

    AD 10

    11

    1

    11

    1

    AD 9

    13

    1

    13

    1

    AD 8

    18

    15

    22

    15

    AD 7

    2

    1

    AD 6

    6

    2

    6

    2

    AD 5

    10

    10

    Total grade AD

    101

    60

    101

    60

    AST 11

    1

    1

    AST 10

    8

    18

    8

    18

    AST 9

    4

    AST 8

    15

    4

    10

    4

    AST 7

    26

    25

    22

    28

    AST 6

    35

    1

    24

    1

    AST 5

    12

    8

    16

    8

    AST 4

    15

    15

    AST 3

    16

    16

    AST 2

    8

    14

    AST 1

    11

    11

    Total grade AST

    151

    56

    137

    59

    Grand total

    252

    116

    238

    119

    Total staff

    368

    357

    European Personnel Selection Office

    Categories and grades

    European Personnel Selection Office

    2007

    2006

    Permanent posts

    Temporary posts

    Of which EAS

    Permanent posts

    Temporary posts

    Of which EAS

    AD16

    AD15

    1

    1

    AD14

    1

    1

    AD13

    AD12

    3

    2

    3

    2

    AD11

    4

    4

    AD10

    2

    1

    2

    1

    AD9

    2

    1

    AD8

    2

    1

    2

    1

    AD7

    2

    2

    2

    2

    AD6

    2

    2

    AD5

    2

    1

    Total grade AD

    20

    1

    6

    18

    1

    6

    AST11

    AST10

    3

    3

    AST9

    AST8

    12

    1

    12

    1

    AST7

    5

    5

    AST6

    15

    1

    15

    1

    AST5

    19

    2

    18

    2

    AST4

    12

    1

    12

    1

    AST3

    18

    1

    17

    1

    AST2

    7

    7

    AST1

    9

    3

    8

    3

    Total grade AST

    100

    9

    97

    9

    Grand total

    120

    1

    15

    115

    1

    15

    Total Staff

    121

    116

    Office for the Administration and Payment of Individual Entitlements

    Categories and grades

    Office for the Administration and Payment of Individual Entitlements

    2007

    2006

    Permanent posts

    Temporary posts

    Permanent posts

    Temporary posts

    AD 16

    AD 15

    1

    1

    AD 14

    4

    4

    AD 13

    AD 12

    5

    4

    AD 11

    3

    2

    AD 10

    2

    3

    AD 9

    1

    1

    AD 8

    AD 7

    1

    AD 6

    4

    3

    AD 5

    3

    5

    Total grade AD

    24

    23

    AST 11

    2

    AST 10

    18

    20

    AST 9

    2

    AST 8

    22

    24

    AST 7

    16

    16

    AST 6

    78

    80

    AST 5

    50

    52

    AST 4

    30

    30

    AST 3

    8

    9

    AST 2

    5

    5

    AST 1

    Total grade AST

    231

    236

    Grand total

    255

    259

    Office for Infrastructure and Logistics in Brussels

    Categories and grades

    Office for Infrastructure and Logistics in Brussels

    2007

    2006

    Permanent posts

    Temporary posts

    Permanent posts

    Temporary posts

    AD 16

    AD 15

    1

    1

    AD 14

    8

    9

    AD 13

    1

    AD 12

    7

    7

    AD 11

    13

    13

    AD 10

    2

    2

    AD 9

    2

    AD 8

    6

    6

    AD 7

    AD 6

    AD 5

    2

    2

    Total grade AD

    42

    40

    AST 11

    AST 10

    19

    19

    AST 9

    AST 8

    12

    12

    AST 7

    16

    16

    AST 6

    60

    66

    AST 5

    73

    72

    AST 4

    173

    186

    AST 3

    64

    65

    AST 2

    3

    AST 1

    Total grade AST

    417

    439

    Grand total

    459

    479

    Office for Infrastructure and Logistics in Luxembourg

    Categories and grades

    Office for Infrastructure and Logistics in Luxembourg

    2007

    2006

    Permanent posts

    Temporary posts

    Permanent posts

    Temporary posts

    AD 16

    AD 15

    1

    1

    AD 14

    3

    3

    AD 13

    AD 12

    5

    5

    AD 11

    3

    2

    AD 10

    4

    3

    AD 9

    AD 8

    AD 7

    AD 6

    AD 5

    4

    2

    Total grade AD

    20

    16

    AST 11

    AST 10

    8

    8

    AST 9

    AST 8

    7

    7

    AST 7

    5

    5

    AST 6

    23

    25

    AST 5

    26

    29

    AST 4

    63

    67

    AST 3

    25

    27

    AST 2

    2

    3

    AST 1

    Total grade AST

    159

    171

    Grand total

    179

    187

    Total staff

    179

    187

    Decentralised bodies

    European Medicines Agency

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    1

    1

    AD 15

    3

    1

    3

    AD 14

    4

    6

    4

    AD 13

    4

    4

    4

    AD 12

    34

    33

    34

    AD 11

    33

    32

    33

    AD 10

    34

    34

    34

    AD 9

    13

    10

    13

    AD 8

    36

    31

    32

    AD 7

    43

    37

    41

    AD 6

    12

    12

    AD 5

    10

    Total grade AD

    227

    188

    211

    AST 11

    AST 10

    6

    6

    6

    AST 9

    2

    2

    AST 8

    10

    9

    10

    AST 7

    14

    12

    14

    AST 6

    30

    27

    30

    AST 5

    32

    29

    32

    AST 4

    54

    46,5

    54

    AST 3

    24

    14

    27

    AST 2

    10

    2

    10

    AST 1

    32

    4

    28

    Total grade AST

    214

    149,5

    213

    Grand total

    441

    337,5

    424

    Total staff

    441

    337,5

    424

    European Foundation for the Improvement of Living and Working Conditions

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    AD 14

    1

    1

    1

    AD 13

    AD 12

    8

    2

    7

    10

    AD 11

    10

    5

    10

    AD 10

    8

    9

    8

    AD 9

    1

    AD 8

    1

    6

    2

    AD 7

    3

    3

    AD 6

    3

    AD 5

    Total grade AD

    8

    30

    28

    35

    AST 11

    3

    AST 10

    2

    3

    5

    AST 9

    4

    AST 8

    2

    4

    7

    AST 7

    10

    3

    8

    AST 6

    3

    12

    7

    AST 5

    15

    16

    16

    AST 4

    6

    3

    5

    AST 3

    8

    4

    8

    AST 2

    3

    7

    3

    AST 1

    1

    Total grade AST

    11

    45

    53

    59

    Grand total

    19

    75

    81

    94

    Total staff

    94

    81

    94

    European Agency for Safety and Health at Work

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    1

    AD 14

    AD 13

    AD 12

    3

    3

    AD 11

    6

    3

    6

    AD 10

    3

    2

    3

    AD 9

    2

    AD 8

    3

    2

    3

    AD 7

    4

    4

    AD 6

    2

    7

    AD 5

    Total grade AD

    22

    17

    20

    AST 11

    AST 10

    1

    1

    AST 9

    AST 8

    4

    1

    4

    AST 7

    3

    3

    AST 6

    3

    3

    3

    AST 5

    3

    1

    3

    AST 4

    1

    3

    1

    AST 3

    3

    4

    3

    AST 2

    1

    1

    1

    AST 1

    1

    2

    1

    Total grade AST

    20

    15

    20

    Grand total

    42

    32

    40

    Total staff

    42

    32

    40

    European Union Agency for Fundamental Rights

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    1

    AD 15

    1

    1

    AD 14

    AD 13

    AD 12

    5

    5

    5

    AD 11

    1

    AD 10

    6

    6

    6

    AD 9

    2

    AD 8

    AD 7

    5

    3

    3

    AD 6

    AD 5

    Total grade AD

    20

    15

    15

    AST 11

    AST 10

    1

    1

    1

    AST 9

    AST 8

    3

    1

    1

    AST 7

    8

    8

    8

    AST 6

    1

    1

    1

    AST 5

    5

    1

    1

    AST 4

    11

    9

    9

    AST 3

    AST 2

    1

    1

    1

    AST 1

    Total grade AST

    30

    22

    22

    Grand total

    50

    37

    37

    Total staff

    50

    37

    37

    European Aviation Safety Agency

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    5

    4

    5

    AD 14

    1

    1

    10

    AD 13

    7

    5

    5

    AD 12

    19

    18

    20

    AD 11

    32

    11

    28

    AD 10

    16

    8

    30

    AD 9

    80

    32

    53

    AD 8

    29

    18

    29

    AD 7

    73

    14

    21

    AD 6

    68

    5

    48

    AD 5

    32

    1

    2

    Total grade AD

    362

    117

    251

    AST 11

    AST 10

    AST 9

    AST 8

    AST 7

    1

    10

    AST 6

    2

    2

    21

    AST 5

    7

    3

    10

    AST 4

    23

    5

    19

    AST 3

    25

    8

    15

    AST 2

    37

    13

    10

    AST 1

    10

    5

    Total grade AST

    105

    36

    85

    Grand total

    467

    153

    336

    Total staff

    467

    153

    336

    European Maritime Safety Agency

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    1

    AD 14

    1

    1

    1

    AD 13

    1

    1

    1

    AD 12

    2

    6

    4

    1

    5

    AD 11

    1

    7

    3

    1

    6

    AD 10

    5

    12

    3

    5

    2

    9

    AD 9

    15

    5

    18

    AD 8

    14

    12

    9

    AD 7

    12

    7

    5

    9

    AD 6

    9

    8

    8

    AD 5

    7

    3

    7

    Total grade AD

    9

    85

    3

    49

    9

    74

    AST 11

    AST 10

    AST 9

    AST 8

    1

    1

    1

    1

    AST 7

    1

    1

    2

    AST 6

    3

    3

    AST 5

    8

    1

    3

    AST 4

    10

    4

    10

    AST 3

    15

    1

    9

    11

    AST 2

    14

    4

    12

    AST 1

    6

    8

    6

    Total grade AST

    1

    58

    1

    27

    1

    48

    Grand total

    10

    143

    4

    76

    10

    122

    Total staff

    153

    80

    132

    European Railway Agency

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    AD 14

    1

    1

    1

    AD 13

    AD 12

    6

    AD 11

    AD 10

    2

    AD 9

    16

    7

    11

    AD 8

    34

    13

    27

    AD 7

    1

    25

    AD 6

    1

    AD 5

    32

    7

    Total grade AD

    85

    28

    72

    AST 11

    AST 10

    AST 9

    AST 8

    AST 7

    2

    AST 6

    AST 5

    2

    AST 4

    9

    7

    6

    AST 3

    4

    5

    AST 2

    5

    AST 1

    10

    5

    Total grade AST

    25

    7

    23

    Grand total

    110

    35

    95

    Total staff

    110

    35

    95

    European Environment Agency

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    1

    AD 14

    4

    2

    4

    AD 13

    1

    1

    AD 12

    1

    8

    5

    1

    8

    AD 11

    12

    1

    10

    12

    AD 10

    13

    12

    12

    AD 9

    4

    3

    2

    AD 8

    7

    7

    9

    AD 7

    1

    6

    1

    AD 6

    1

    AD 5

    Total grade AD

    1

    51

    1

    47

    1

    50

    AST 11

    1

    2

    1

    2

    AST 10

    2

    1

    2

    2

    AST 9

    3

    1

    2

    AST 8

    2

    6

    1

    6

    2

    7

    AST 7

    7

    1

    4

    6

    AST 6

    9

    11

    9

    AST 5

    8

    4

    9

    AST 4

    11

    7

    10

    AST 3

    11

    18

    11

    AST 2

    1

    3

    2

    AST 1

    1

    1

    1

    Total grade AST

    3

    61

    3

    57

    3

    61

    Grand total

    4

    112

    4

    104

    4

    111

    Total staff

    116

    108

    115

    European Network and Information Security Agency

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    1

    AD 14

    AD 13

    AD 12

    3

    3

    3

    AD 11

    AD 10

    4

    4

    4

    AD 9

    7

    6

    7

    AD 8

    5

    2

    5

    AD 7

    9

    9

    9

    AD 6

    AD 5

    Total grade AD

    29

    25

    29

    AST 11

    AST 10

    AST 9

    AST 8

    AST 7

    AST 6

    AST 5

    7

    6

    7

    AST 4

    1

    1

    AST 3

    AST 2

    5

    5

    5

    AST 1

    2

    2

    2

    Total grade AST

    15

    13

    15

    Grand total

    44

    38

    44

    Total staff

    44

    38

    44

    Office for Harmonization in the Internal Market

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    1

    1

    1

    AD 15

    3

    2

    3

    AD 14

    7

    17

    5

    17

    7

    17

    AD 13

    7

    4

    7

    AD 12

    17

    1

    12

    17

    1

    AD 11

    31

    4

    27

    4

    31

    4

    AD 10

    40

    9

    47

    9

    41

    9

    AD 9

    7

    6

    7

    AD 8

    13

    15

    13

    AD 7

    AD 6

    AD 5

    Total grade AD

    102

    55

    95

    54

    103

    55

    AST 11

    5

    1

    3

    1

    5

    1

    AST 10

    15

    2

    18

    1

    15

    2

    AST 9

    6

    2

    1

    6

    2

    AST 8

    31

    9

    31

    7

    31

    9

    AST 7

    46

    11

    42

    11

    46

    11

    AST 6

    58

    20

    59

    15

    58

    20

    AST 5

    57

    21

    56

    21

    57

    27

    AST 4

    78

    30

    80

    27

    78

    31

    AST 3

    49

    34

    61

    28

    51

    42

    AST 2

    15

    22

    25

    AST 1

    Total grade AST

    345

    145

    351

    133

    347

    170

    Grand total

    447

    200

    446

    187

    450

    225

    Total staff

    647

    633

    675  (61)

    European Centre for the Development of Vocational Training

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    1

    AD 14

    1

    1

    1

    AD 13

    AD 12

    7

    5

    6

    5

    7

    5

    AD 11

    5

    5

    4

    5

    5

    5

    AD 10

    3

    5

    3

    5

    3

    5

    AD 9

    3

    1

    3

    AD 8

    2

    3

    2

    AD 7

    1

    1

    AD 6

    1

    1

    AD 5

    7

    3

    5

    Total grade AD

    15

    31

    13

    24

    15

    29

    AST 11

    AST 10

    3

    1

    3

    1

    3

    1

    AST 9

    AST 8

    2

    1

    2

    1

    2

    1

    AST 7

    1

    1

    1

    1

    1

    1

    AST 6

    6

    7

    6

    6

    6

    7

    AST 5

    4

    5

    4

    5

    4

    5

    AST 4

    4

    7

    3

    7

    4

    7

    AST 3

    6

    5

    6

    AST 2

    2

    2

    2

    AST 1

    1

    1

    1

    Total grade AST

    20

    31

    19

    29

    20

    31

    Grand total

    35

    62

    32

    53

    35

    60

    Total staff

    97

    85

    95

    European Training Foundation

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    1

    AD 14

    2

    2

    2

    AD 13

    1

    1

    1

    AD 12

    7

    7

    8

    AD 11

    15

    15

    15

    AD 10

    11

    11

    10

    AD 9

    4

    4

    7

    AD 8

    11

    11

    8

    AD 7

    2

    1

    2

    AD 6

    AD 5

    Total grade AD

    54

    53

    54

    AST 11

    AST 10

    1

    1

    1

    AST 9

    2

    2

    3

    AST 8

    6

    6

    7

    AST 7

    11

    11

    11

    AST 6

    12

    12

    12

    AST 5

    10

    10

    5

    AST 4

    4

    4

    6

    AST 3

    3

    3

    3

    AST 2

    2

    2

    3

    AST 1

    Total grade AST

    51

    51

    51

    Grand total

    105

    104

    105

    Total staff

    105

    104

    105

    Community Plant Variety Office

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    AD 14

    1

    1

    1

    AD 13

    1

    1

    AD 12

    1

    1

    1

    1

    AD 11

    1

    1

    1

    AD 10

    1

    2

    1

    AD 9

    AD 8

    1

    1

    AD 7

    AD 6

    AD 5

    Total grade AD

    3

    4

    2

    4

    3

    4

    AST 11

    AST 10

    AST 9

    2

    2

    2

    2

    2

    2

    AST 8

    2

    2

    2

    2

    2

    2

    AST 7

    2

    4

    2

    4

    2

    4

    AST 6

    2

    6

    2

    5

    2

    5

    AST 5

    5

    5

    5

    AST 4

    1

    2

    1

    2

    1

    2

    AST 3

    3

    3

    3

    AST 2

    AST 1

    2

    2

    2

    Total grade AST

    9

    26

    9

    25

    9

    25

    Grand total

    12

    30

    11

    29

    12

    29

    Total staff

    42

    40  (62)

    41  (63)

    European Food Safety Authority

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    1

    AD 14

    1

    1

    2

    2

    AD 13

    AD 12

    1

    12

    7

    8

    AD 11

    16

    14

    19

    AD 10

    1

    2

    AD 9

    1

    21

    1

    4

    1

    14

    AD 8

    30

    17

    29

    AD 7

    1

    35

    1

    20

    1

    28

    AD 6

    1

    22

    10

    21

    AD 5

    20

    26

    17

    Total grade AD

    6

    160

    2

    101

    2

    139

    AST 11

    AST 10

    AST 9

    AST 8

    1

    AST 7

    5

    4

    4

    AST 6

    2

    AST 5

    2

    20

    7

    16

    AST 4

    30

    2

    11

    2

    24

    AST 3

    20

    13

    14

    AST 2

    21

    16

    18

    AST 1

    2

    31

    38

    31

    Total grade AST

    4

    130

    2

    89

    2

    107

    Grand total

    10

    290

    4

    190

    4

    246

    Total staff

    300

    194

    250

    Eurojust

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    1

    AD 14

    AD 13

    AD 12

    AD 11

    2

    2

    2

    AD 10

    1

    AD 9

    4

    4

    4

    AD 8

    3

    3

    3

    AD 7

    11

    7

    7

    AD 6

    6

    1

    AD 5

    9

    4

    8

    Total grade AD

    37

    21

    26

    AST 11

    AST 10

    AST 9

    AST 8

    1

    1

    1

    AST 7

    1

    1

    1

    AST 6

    1

    AST 5

    2

    2

    2

    AST 4

    19

    17

    17

    AST 3

    37

    9

    16

    AST 2

    23

    27

    27

    AST 1

    23

    9

    22

    Total grade AST

    107

    66

    86

    Grand total

    144

    87

    112

    Total staff

    144

    87

    112

    European Monitoring Centre for Drugs and Drug Addiction

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    AD 14

    1

    1

    1

    AD 13

    1

    2

    1

    2

    AD 12

    1

    6

    5

    1

    6

    AD 11

    3

    5

    3

    4

    3

    3

    AD 10

    2

    13

    9

    2

    11

    AD 9

    6

    2

    5

    AD 8

    8

    6

    8

    AD 7

    2

    2

    2

    2

    AD 6

    3

    AD 5

    Total grade AD

    10

    43

    3

    30

    10

    38

    AST 11

    1

    1

    AST 10

    1

    1

    AST 9

    3

    1

    AST 8

    3

    1

    4

    AST 7

    6

    1

    4

    5

    AST 6

    1

    4

    4

    1

    4

    AST 5

    3

    3

    5

    AST 4

    2

    1

    2

    2

    2

    AST 3

    2

    1

    6

    2

    1

    AST 2

    1

    1

    2

    AST 1

    1

    Total grade AST

    7

    22

    3

    22

    7

    22

    Grand total

    17

    65

    6

    52

    17

    60

    Total staff

    82

    58

    77

    European Agency for Reconstruction

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    1

    AD 14

    1

    1

    1

    AD 13

    1

    1

    AD 12

    50

    15

    56

    AD 11

    23

    AD 10

    26

    4

    29

    AD 9

    6

    AD 8

    4

    12

    AD 7

    1

    7

    1

    AD 6

    5

    AD 5

    Total grade AD

    84

    74

    89

    AST 11

    AST 10

    1

    1

    1

    AST 9

    4

    AST 8

    2

    2

    2

    AST 7

    2

    1

    AST 6

    6

    3

    AST 5

    9

    5

    22

    AST 4

    1

    AST 3

    2

    AST 2

    AST 1

    1

    Total grade AST

    24

    15

    26

    Grand total

    108

    89

    115

    Total staff

    108

    89

    115

    Galileo Supervisory Authority

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    AD 14

    1

    1

    1

    AD 13

    3

    3

    AD 12

    AD 11

    3

    3

    AD 10

    2

    2

    AD 9

    3

    3

    AD 8

    13

    12

    AD 7

    14

    8

    AD 6

    2

    2

    AD 5

    Total grade AD

    41

    1

    34

    AST 11

    AST 10

    AST 9

    AST 8

    AST 7

    AST 6

    1

    1

    AST 5

    1

    1

    AST 4

    AST 3

    1

    1

    AST 2

    2

    2

    AST 1

    Total grade AST

    5

    5

    Grand total

    46

    1

    39

    Total staff

    46

    1

    39

    Community Fisheries Control Agency (CFCA)

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

     

    AD 15

     

    AD 14

     

    AD 13

     

    AD 12

     

    AD 11

     

    AD 10

     

    AD 9

     

    AD 8

     

    AD 7

     

    AD 6

     

    AD 5

     

    Total grade AD

    8

    5

    8

    5

    AST 11

     

    AST 10

     

    AST 9

     

    AST 8

     

    AST 7

     

    AST 6

     

    AST 5

     

    AST 4

     

    AST 3

     

    AST 2

     

    AST 1

     

    Total grade AST

    2

    23

    2

    23

    Grand total

    10

    28

    10

    28

    Total staff

    38

    38

    European Centre For Disease Prevention and Control

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    AD 14

    2

    2

    AD 13

    AD 12

    AD 11

    4

    4

    AD 10

    8

    5

    AD 9

    4

    AD 8

    13

    8

    AD 7

    8

    AD 6

    8

    AD 5

    8

    8

    Total grade AD

    56

    28

    AST 11

    AST 10

    AST 9

    AST 8

    AST 7

    2

    AST 6

    4

    4

    AST 5

    2

    AST 4

    15

    5

    AST 3

    3

    2

    AST 2

    AST 1

    8

    11

    Total grade AST

    34

    22

    Grand total

    90

    50

    Total staff

    90

    50

    European Agency for the Management of Operational Cooperation at External Borders

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    AD 14

    1

    1

    1

    AD 13

    1

    1

    AD 12

    6

    6

    AD 11

    7

    4

    AD 10

    5

    3

    AD 9

    1

    1

    AD 8

    2

    2

    AD 7

    AD 6

    AD 5

    Total grade AD

    23

    1

    18

    AST 11

    AST 10

    AST 9

    AST 8

    4

    2

    AST 7

    2

    2

    AST 6

    2

    2

    AST 5

    2

    2

    AST 4

    1

    AST 3

    1

    1

    AST 2

    AST 1

    Total grade AST

    11

    10

    Grand total

    34

    1

    28

    Total staff

    34

    1

    28

    European Police College

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    AD 14

    AD 13

    1

    AD 12

    AD 11

    AD 10

    2

    AD 9

    AD 8

    AD 7

    2

    AD 6

    AD 5

    5

    Total grade AD

    10

    10

    AST 11

    AST 10

    AST 9

    AST 8

    AST 7

    AST 6

    AST 5

    1,5

    AST 4

    2

    AST 3

    9

    AST 2

    AST 1

    Total grade AST

    12,5

    12,5

    Grand total

    22,5

    22,5

    Total staff

    22,5

    22,5

    Translation Centre for the bodies of the European Union

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    1

    AD 14

    1

    1

    1

    AD 13

    AD 12

    5

    3

    2

    4

    5

    2

    AD 11

    5

    9

    5

    6

    5

    8

    AD 10

    15

    6

    5

    20

    11

    11

    AD 9

    1

    11

    6

    1

    10

    AD 8

    3

    8

    1

    14

    2

    10

    AD 7

    6

    2

    1

    2

    AD 6

    27

    24

    27

    AD 5

    12

    2

    8

    Total grade AD

    30

    83

    16

    76

    26

    79

    AST 11

    AST 10

    AST 9

    AST 8

    3

    1

    1

    1

    2

    1

    AST 7

    5

    3

    4

    1

    4

    3

    AST 6

    1

    6

    9

    6

    AST 5

    6

    5

    13

    5

    6

    AST 4

    2

    10

    4

    3

    7

    AST 3

    3

    21

    21

    3

    20

    AST 2

    9

    9

    1

    7

    AST 1

    12

    8

    16

    Total grade AST

    20

    67

    5

    66

    18

    66

    Total

    50

    150

    21

    142

    44

    145

    Total staff

    200

    163

    189

    Chemicals legislation and European Chemicals Agency

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community -budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    AD 14

    2

    AD 13

    8

    AD 12

    8

    AD 11

    8

    AD 10

    8

    AD 9

    9

    AD 8

    10

    AD 7

    9

    AD 6

    8

    AD 5

    4

    Total grade AD

    75

    AST 11

    AST 10

    1

    AST 9

    2

    AST 8

    6

    AST 7

    6

    AST 6

    1

    AST 5

    1

    AST 4

    8

    AST 3

    1

    AST 2

    AST 1

    Total grade AST

    26

    Grand total

    101

    Total staff

    101

    Gender Institute

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    1

    AD 14

    AD 13

    2

    AD 12

    AD 11

    1

    AD 10

    1

    AD 9

    AD 8

    1

    AD 7

    1

    AD 6

    AD 5

    Total grade AD

    7

    AST 11

    AST 10

    AST 9

    1

    AST 8

    1

    AST 7

    AST 6

    2

    AST 5

    2

    AST 4

    2

    AST 3

    AST 2

    AST 1

    Total grade AST

    8

    Grand total

    15

    Total staff

    15

    Executive Agencies (Article 12(1) of Council Regulation (EC) No 58/2003)

    Executive Agency for Intelligent Energy

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    AD 14

    1

    1

    1

    AD 13

    AD 12

    2

    2

    AD 11

    1

    1

    AD 10

    3

    3

    AD 9

    3

    AD 8

    3

    1

    2

    AD 7

    3

    3

    AD 6

    AD 5

    2

    6

    Total

    15

    11

    12

    AST 11

    AST 10

    AST 9

    AST 8

    AST 7

    2

    2

    AST 6

    AST 5

    AST 4

    1

    1

    AST 3

    1

    2

    1

    AST 2

    AST 1

    1

    Total

    4

    3

    4

    Grand total

    19

    14

    16

    Total staff

    19

    14

    16

    Education, Audiovisual and Culture Executive Agency

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    AD 14

    1

    1

    1

    AD 13

    4

    4

    AD 12

    9

    4

    9

    AD 11

    21

    2

    21

    AD 10

    8

    8

    AD 9

    3

    AD 8

    6

    6

    AD 7

    AD 6

    AD 5

    Total

    52

    7

    49

    AST 11

    AST 10

    5

    1

    5

    AST 9

    AST 8

    9

    8

    AST 7

    9

    9

    AST 6

    5

    4

    AST 5

    AST 4

    AST 3

    AST 2

    AST 1

    Total

    28

    1

    26

    Grand total

    80

    8

    75

    Total staff

    80

    8

    75

    Executive Agency for the Public Health Programme

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually fille as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    AD 14

    1

    1

    AD 13

    AD 12

    AD 11

    1

    1

    AD 10

    AD 9

    AD 8

    2

    2

    AD 7

    AD 6

    1

    1

    AD 5

    Total

    5

    5

    AST 11

    AST 10

    AST 9

    AST 8

    AST 7

    1

    1

    AST 6

    AST 5

    3

    3

    AST 4

    AST 3

    AST 2

    AST 1

    Total

    4

    4

    Grand total

    9

    9

    Total staff

    9

    9

    Executive Agency for the Trans-European Networks

    Category and grade

    Posts

    2007

    2006

    Authorised under the Community budget

    Actually filled as at 31.12.2005

    Authorised under the Community budget

    Permanent

    Temporary

    Permanent

    Temporary

    Permanent

    Temporary

    AD 16

    AD 15

    AD 14

    1

    1

    AD 13

    1

    AD 12

    1

    1

    AD 11

    2

    1

    AD 10

    3

    3

    AD 9

    AD 8

    3

    2

    AD 7

    1

    1

    AD 6

    13

    4

    AD 5

    6

    5

    Total

    31

    18

    AST 11

    AST 10

    AST 9

    AST 8

    AST 7

    AST 6

    1

    1

    AST 5

    2

    2

    AST 4

    4

    AST 3

    2

    2

    AST 2

    AST 1

    Total

    9

    5

    Grand total

    40

    23

    Total staff

    40

    23

    Section IV — Court of Justice

    Function group and grades

    Court of Justice

    2007

    2006

    Permanent posts

     

    Temporary posts

    Permanent posts

     

    Temporary posts

    AD 16

    4

     

     

    AD 15

    11

     

    1

    9

     

    1

    AD 14

    20 (64)

     

    44 (65)

    26 (66)

     

    41 (67)

    AD 13

    19

     

    12

     

    AD 12

    131 (68)

     

    66

    133 (69)

     

    61

    AD 11

    116

     

    73

    103

     

    69

    AD 10

    86

     

    24

    101

     

    23

    AD 9

    12

     

    1

    13

     

    1

    AD 8

    106

     

    1

    65

     

    1

    AD 7

    215

     

    24

    210

     

    24

    AD 6

    18

     

    29

     

    AD 5

    55

     

    23

     

    Total

    793

     

    234

    724

     

    221

    AST 11

    2

     

    2

     

    AST 10

    15

     

    1

    21

     

    1

    AST 9

    12

     

    7

     

    AST 8

    32

     

    5

    32

     

    5

    AST 7

    43

     

    28

    30

     

    26

    AST 6

    99

     

    24

    95

     

    24

    AST 5

    68

     

    46

    87

     

    42

    AST 4

    57

     

    68

    62

     

    64

    AST 3

    153

     

    12

    132

     

    12

    AST 2

    39

     

    11

    29

     

    16

    AST 1

    140

     

    125

     

    Total

    660

     

    195

    622

     

    190

    Subtotal

    1 453  (70)

     

    429

    1 346  (71)

     

    411

    Grand total

    1 882  (72)

     

    1 757  (73)

     

    Section V — Court of Auditors

    Category and grade

    Court of Auditors

    Permanent posts

    Temporary posts (74)

    2007

     

    2006

    2007

     

    2006

    Non-category

     

    1

     

    1

    AD 16

     

     

    AD 15

    9

     

    9

     

    AD 14

    31 (75)

     

    31 (76)

    30 (77)

     

    28

    AD 13

    8

     

    5

     

    AD 12

    62 (78)

     

    53 (79)

    9 (80)

     

    11 (81)

    AD 11

    45

     

    54

    30 (82)

     

    28

    AD 10

    42

     

    45

    1

     

    1

    AD 9

    76 (83)

     

    51

     

    AD 8

    66

     

    81

     

    AD 7

    1

     

    1

     

    AD 6

    101 (84)

     

    82

     

    AD 5

    7

     

    7

     

    Total

    448

     

    419

    71

     

    69

    AST 11

    7

     

    4

     

    AST 10

    15

     

    16

     

    AST 9

    5

     

    5

     

    AST 8

    10

     

    10

     

    AST 7

    23

     

    23

    28 (85)  (86)

     

    26 (87)

    AST 6

    43

     

    39

     

    AST 5

    39

     

    38

     

    AST 4

    26

     

    31

    28 (88)

     

    26

    AST 3

    43 (89)

     

    38

     

    AST 2

    18

     

    17

    13

     

    13

    AST 1

    19 (90)

     

    17

     

    Total

    248

     

    238

    69

     

    65

    Grand total  (91)

    696  (92)

     

    657  (93)

    140

     

    134

    Section VI — European Economic and Social Committee

    Category and grade

    European Economic and Social Committee

    2007

    2006

    Permanent posts

     

    Temporary posts

    Permanent posts

     

    Temporary posts

    Non-category

    1

     

    1

     

    AD 16

     

     

    AD 15

    5

     

    5

     

    AD 14

    21

     

    1

    21

     

    1

    AD 13

    4

     

    4

     

    AD 12

    54

     

    3

    54

     

    3 (94)

    AD 11

    40

     

    40

     

    AD 10

    37

     

    36

     

    AD 9

    9

     

    9

     

    AD 8

    19

     

    3 (95)

    18

     

    4 (96)

    AD 7

    19

     

    19

     

    AD 6

    88

     

    87

     

    AD 5

    15

     

    5

    3

     

    5

    Total

    311

     

    12

    296

     

    13

    AST 11

    2

     

    2

     

    AST 10

    9

     

    1

    10

     

    1

    AST 9

    4

     

    4

     

    AST 8

    16

     

    3 (97)

    16

     

    2

    AST 7

    18

     

    1

    18

     

    1

    AST 6

    68

     

    1

    69

     

    2

    AST 5

    75

     

    5 (98)

    74

     

    6

    AST 4

    45

     

    3

    45

     

    3

    AST 3

    55

     

    48

     

    AST 2

    33

     

    33

     

    AST 1

    31

     

    1

    26

     

    1

    Total

    356

     

    15

    345

     

    16

    Grand total

    668  (99)

     

    27

    642  (100)

     

    29

    Section VII — Committee of the Regions

    Category and grade

    Committee of the Regions

    2007

    2006

    Permanent posts

     

    Temporary posts

    Permanent posts

     

    Temporary posts

    HC

     

    1

     

    1

    AD 16

     

     

    AD 15

    4

     

    3

     

    AD 14

    9

     

    1

    10

     

    1

    AD 13

    3

     

    2

     

    AD 12

    24

     

    2

    23

     

    AD 11

    21

     

    2

    19

     

    4

    AD 10

    17

     

    1

    18

     

    1

    AD 9

    23

     

    5

    20

     

    3

    AD 8

    17

     

    23

     

    2

    AD 7

    5

     

    1

     

    AD 6

    106

     

    7

    111

     

    5

    AD 5

    22

     

    1

    17

     

    3

    Total

    251

     

    20

    246

     

    19

    AST 11

    1

     

    1

     

    AST 10

    4

     

    3

     

    AST 9

    2

     

    3

     

    AST 8

    2

     

    1

     

    AST 7

    12

     

    1

    9

     

    1

    AST 6

    14

     

    14

     

    AST 5

    31

     

    4

    30

     

    4

    AST 4

    23

     

    3

    21

     

    3

    AST 3

    31

     

    4

    34

     

    3

    AST 2

    38

     

    1

    39

     

    1

    AST 1

    22

     

    1

    24

     

    2

    Total

    180

     

    14

    179

     

    14

    Subtotal

    431

     

    35

    425

     

    34

    Grand total

    466  (101)  (102)

    459  (103)  (104)

    Section VIII — European Ombudsman

    Category and grade

    2007

    2006

    Permanent posts

     

    Temporary posts

    Permanent posts

     

    Temporary posts

    AD 16

     

     

    AD 15

     

    1

     

    1

    AD 14

    1

     

    1

    1

     

    1

    AD 13

    1

     

     

    AD 12

    1

     

    4

    2

     

    3

    AD 11

     

    2

     

    3

    AD 10

     

    1

     

    1

    AD 9

     

    5

     

    2

    AD 8

     

     

    3

    AD 7

     

    2

     

    2

    AD 6

     

    7

     

    7

    AD 5

     

    3

     

    3

    Total

    3

     

    26

    3

     

    26

    AST 11

     

     

    AST 10

     

     

    AST 9

     

     

    AST 8

     

     

    AST 7

    2

     

    2

     

    AST 6

     

    6

     

    4

    AST 5

    1

     

    1

    1

     

    3

    AST 4

    1

     

    1

    1

     

    1

    AST 3

    5

     

    6

    4

     

    4

    AST 2

     

    1

     

    2

    AST 1

    1

     

    4

    1

     

    4

    Total

    10

     

    18

    10

     

    18

    Grand total

    13

     

    44

    13

     

    44

    Section IX — European Data-protection Supervisor

    Category and grade

    European Data-protection Supervisor

    2007

    2006

    Permanent posts

     

    Temporary posts

    Permanent posts

     

    Temporary posts

    Non-category

     

     

    AD 16

     

     

    AD 15

     

     

    AD 14

    1

     

    1

     

    AD 13

     

     

    AD 12

     

     

    AD 11

    2

     

    2

     

    AD 10

    2

     

    2

     

    AD 9

    3

     

    1

     

    AD 8

    5

     

    4

     

    AD 7

    1

     

     

    AD 6

    1

     

    1

     

    AD 5

    2

     

    2

     

    Total

    17

     

    13

     

    AST 11

     

     

    AST 10

     

     

    AST 9

     

     

    AST 8

    1

     

    1

     

    AST 7

    1

     

    1

     

    AST 6

    2

     

    2

     

    AST 5

    1

     

     

    AST 4

    1

     

    1

     

    AST 3

    3

     

    3

     

    AST 2

    1

     

    1

     

    AST 1

    2

     

    2

     

    Total

    12

     

    11

     

    Grand total

    29

     

    24

     

    D. BUILDINGS

    Institutions

    Buildings rented

    Buildings owned

    Appropriations 2007 (105)

    Appropriations 2006 (106)

    Section I

    Parliament

    35 228 800

    42 562 776

    1 109 804 341  (107)

    Section II

    Council

    20 310 000  (108)

    35 018 000  (109)

    217 092 787  (110)

    Section III

    Commission (111):

     

     

    2 016 395 044  (112)

     

    — headquarters (Brussels and Luxembourg)

    233 463 000

    226 057 000

    1 847 139 822

     

    — offices in the Community

    11 931 000

    12 018 000

    13 287 088

     

    — Food and Veterinary Office

    2 385 000

    2 367 000

    28 994 665

     

    — delegations

    64 606 000

    57 704 000

    64 353 158

     

    — Joint Research Centre

    62 620 311

     

    — Publications Office

    6 370 000

    6 370 000

     

    — European Anti-fraud Office

    4 948 000

    4 851 000

     (113)

     

    European Personnel Selection Office

    1 850 000

    2 013 000

     

    Office for Administration and Payment of Individual Entitlements

    3 124 000

    3 059 000

     

    Office for Infrastructure and Logistics, Brussels

    5 112 000

    5 011 000

     

    Office for Infrastructure and Logistics, Luxembourg

    2 618 000

    2 501 000

    Section IV

    Court of Justice

    12 175 000

    11 743 000

    66 476 520  (114)

    Section V

    Court of Auditors

    4 380 000

    2 948 000

    34 975 362

    Section VI

    European Economic and Social Committee

    9 840 000

    8 791 580

    167 146 787  (115)

    Section VII

    Committee of the Regions

    8 120 510

    6 552 000

    98 650 547  (116)

    Section VIII

    European Ombudsman

    420 000

    385 000

     

    European Data-protection Supervisor

    408 115

    332 489

     

     

    Total

    427 161 425

    430 283 845

    3 481 543 819


    Institution

    Location

    Year of purchase

    Amounts

    Subtotal

    Total

    Parliament

    Brussels

     

     

    714 417 614

     

    Land

     

    89 547 751

     

     

    Paul-Henri Spaak (D1)

    1998

    87 651 848

     

     

    Paul-Henri Spaak (D2)

    1998

    35 241 348

     

     

    Altiero Spinelli (D3)

    1998

    453 130 993

     

     

    Atrium

    1999

    32 513 137

     

     

    Atrium II

    2004

    9 989 226

     

     

    Cathedrale

    2005

    410 171

     

     

    Wayenberg (Marie Haps)

    2003

    5 933 140

     

     

    Strasbourg (Louise Weiss)

    1998

     

    338 868 124

     

    Luxembourg (KAD)

    2003

     

    47 816 667

     

    Jean Monnet House (Bazoches)

    1982

     

    56 692

     

    Lisbon

    1986

     

    1 081 251

     

    Athens

    1991

     

    3 656 533

     

    Copenhagen

    2005

     

    3 907 460

    Council

    Brussels

    1995

     

    217 092 787

    Commission (117)

    Brussels

     

     

    1 743 182 052

     

    Overijse

    1974

    1 231 755

     

     

    Loi 130

    1987

    61 299 307

     

     

    Breydel

    1989

    27 943 024

     

     

    Haren

    1993

    8 577 394

     

     

    Clovis

    1995

    13 679 008

     

     

    Cours Saint-Michel 1

    1997

    21 490 167

     

     

    Belliard 232 (118)

    1997

    23 996 505

     

     

    Demot 24 (119)

    1997

    35 227 741

     

     

    Breydel II

    1997

    45 069 772

     

     

    Beaulieu 29/31/33 (120)

    1997

    44 803 440

     

     

    Charlemagne (121)

    1997

    140 142 582

     

     

    Demot 28 (122)

    1997

    28 049 564

     

     

    Joseph II 99 (123)

    1997

    19 947 574

     

     

    Loi 86 (124)

    1997

    29 943 629

     

     

    Luxembourg 46 (125)

    1997

    41 950 761

     

     

    Montoyer 59 (126)

    1997

    21 620 977

     

     

    Froissart 101 (127)

    1999

    22 239 118

     

     

    VM 18 (128)

    1999

    21 471 864

     

     

    Joseph II 70 (129)

    1999

    46 363 164

     

     

    Loi 41 (130)

    1999

    78 252 356

     

     

    SC 11 (131)

    1999

    23 166 018

     

     

    Joseph II 30 (132)

    2000

    41 956 710

     

     

    Joseph II 54 (133)

    2000

    51 874 192

     

     

    Joseph II 79 (134)

    2001

    47 843 852

     

     

    VM2 (135)

    2002

    47 189 320

     

     

    Palmerston (136)

    2002

    8 446 375

     

     

    SPA 3

    2003

    33 538 705

     

     

    Berlaymont (137)

    2004

    507 042 934

     

     

    CCAB (138)

    2005

    48 585 000

     

     

    BU-25

    2006

    59 387 402

     

     

    Cornet-Leman

    2006

    3 800 000

     

     

    Madou

    2006

    137 051 842

     

     

    Luxembourg

     

     

    103 957 770

     

    Euroforum (139)

    2004

    103 957 770

     

     

    Offices in the Community

     

     

    13 287 088

     

    Nicosia (Iris Tower — 8th fl.)

    1992

    151 226

     

     

    Lisbon

    1994

     

     

    Marseille

    1994

     

     

    Milan

    1994

     

     

    Copenhagen

    2005

    4 719 477

     

     

    Valletta

    2006

    1 794 779

     

     

    Nicosia (Byron)

    2006

    3 050 313

     

     

    The Hague

    2006

    3 571 293

     

     

    Joint Research Centre

     

     

    62 620 311

     

    Ispra

     

    39 350 225

     

     

    Geel

     

    16 852 960

     

     

    Karlsruhe

     

     

     

    Petten

     

    6 417 126

     

     

    Food and Veterinaty Office

     

     

    28 994 665

     

    Grange (Ireland) (140)

    2002

    28 994 665

     

     

    External services  (141)

     

     

    64 353 158

     

    Buenos Aires (Argentina)

    1992

    685 920

     

     

    Canberra (Australia)

    1983

    23 528

     

     

     

    1990

    821 878

     

     

    Cotonou (Benin)

    1992

    301 313

     

     

    Gaborone (Botswana)

    1982

     

     

     

    1985

    17 304

     

     

     

    1987

    16 763

     

     

    Brasilia (Brazil)

    1994

    455 070

     

     

    Ouagadougou (Burkina Faso)

    1984

    16 745

     

     

     

    1997

    1 641 603

     

     

    Bujumbura (Burundi)

    1982

     

     

     

    1986

    136 595

     

     

    Phnom Pen (Cambodia)

    2005

    670 160

     

     

    Ottawa (Canada)

    1977

     

     

    Praia (Cape Verde)

    1981

     

     

    Bangui (Central African Republic)

    1983

    86 780

     

     

    N'Djamena (Chad)

    1982

     

     

    Beijing (China)

    1995

    3 308 984

     

     

    Moroni (Comoros)

    1988

    34 646

     

     

    Brazzaville (Congo)

    1994

    192 192

     

     

    San José (Costa Rica)

    1994

    425 040

     

     

    Abidjan (Côte d'Ivoire)

    1993

    210 266

     

     

     

    1994

    307 204

     

     

    Malabo (Equatorial Guinea)

    1986

    65 281

     

     

    Paris (France)

    1990

    2 640 541

     

     

     

    1991

    115 029

     

     

    Libreville (Gabon)

    1996

    347 068

     

     

    Banjul (Gambia)

    1989

    46 820

     

     

    Bissau (Guinea-Bissau)

    1995

    349 506

     

     

    Tokyo (Japan)

    2006

    34 008 179

     

     

    Nairobi (Kenya)

    2006

    783 034

     

     

    Maseru (Lesotho)

    1985

    48 508

     

     

     

    1990

    212 815

     

     

     

    1991

    353 189

     

     

     

    2006

    255 190

     

     

    Lilongwe (Malawi)

    1982

     

     

     

    1988

    21 092

     

     

    Mexico City (Mexico)

    1994

    1 757 066

     

     

    Rabat (Morocco)

    1987

    103 403

     

     

    Windhoek (Namibia)

    1992

    450 883

     

     

     

    1993

    120 238

     

     

    Niamey (Niger)

    1997

    125 568

     

     

    Abuja (Nigeria)

    1992

    466 489

     

     

     

    2005

    4 710 678

     

     

    Port Moresby (Papua New Guinea)

    1982

    48 275

     

     

    Kigali (Rwanda)

    1980

     

     

    Dakar (Senegal)

    1984

    46 344

     

     

    Honiara (Solomon Islands)

    1990

    39 464

     

     

    Pretoria (South Africa)

    1994

    718 420

     

     

     

    1996

    684 342

     

     

    Mbabane (Swaziland)

    1987

    127 568

     

     

    Dar es Salaam (Tanzania)

    2002

    3 867 598

     

     

    Kampala (Uganda)

    1986

    74 829

     

     

    Montevideo (Uruguay)

    1990

    166 178

     

     

    New York (United States of America)

    1987

    348 280

     

     

    Washington (United States of America)

    1997

    1 484 514

     

     

    Lusaka (Zambia)

    1982

     

     

    Harare (Zimbabwe)

    1990

    172 118

     

     

     

    1994

    242 660

     

     

    Total Commission

     

     

    2 016 395 044

    Court of Justice

    Luxembourg

    1994

     

    66 476 520

    Court of Auditors

    Luxembourg (K1)

    1990

    10 108 813

     

     

    Luxembourg (K2)

    2004

    24 866 549

    34 975 362

    European Economic and Social Committee

    Brussels

     

     

    167 146 787

     

    Montoyer 92

    2001

    43 499 958

     

     

    Belliard 99-101

    2001

    96 240 491

     

     

    Belliard 68

    2004

    11 573 928

     

     

    Trèves 74

    2005

    10 095 754

     

     

    Belliard 93

    2005

    5 736 656

     

    Committee of the Regions

    Brussels

     

     

    98 650 547

     

    Montoyer

    2001

    18 237 821

     

     

    Belliard 101-103

    2001

    44 817 041

     

     

    Belliard 68

    2004

    15 866 212

     

     

    Trèves 74

    2004

    13 992 816

     

     

    Belliard 93

    2005

    5 736 657

     

    Grand total

     

     

     

    3 481 543 819

    SECTION I

    PARLIAMENT

    REVENUE

    Contribution of the European Communities to the financing of the expenditure of the Parliament for the financial year 2007

    Heading

    Amount

    Expenditure

    1 397 460 174

    Own resources

    –84 864 192

    Contribution due

    1 312 595 982

    OWN RESOURCES

    TITLE 4

    REVENUE ACCRUING FROM PERSONS WORKING WITH THE INSTITUTIONS AND OTHER COMMUNITY BODIES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 4 0

    4 0 0

    Proceeds from taxation on the salaries, wages and allowances of Members of the institutions, officials, other servants and recipients of pensions

    33 571 460

    42 788 413

    33 017 406,05

    4 0 3

    Proceeds of the temporary contribution from the salaries of Members of the institution, officials and other servants in active employment

    p.m.

    p.m.

    144,92

    4 0 4

    Proceeds from the special levy on the salaries of Members of the institutions, officials and other servants in active employment

    7 598 618

    3 219 786

    2 768 903,51

     

    CHAPTER 4 0 — TOTAL

    41 170 078

    46 008 199

    35 786 454,48

     

    CHAPTER 4 1

    4 1 0

    Staff contributions to the pension scheme

    36 407 938

    44 382 924

    32 475 273,74

    4 1 1

    Transfer or purchase of pension rights by staff

    3 936 176

    5 743 513

    3 888 562,37

    4 1 2

    Contributions to the pension scheme by officials and temporary staff on leave on personal grounds

    5 000

    5 000

    0,—

     

    CHAPTER 4 1 — TOTAL

    40 349 114

    50 131 437

    36 363 836,11

     

    CHAPTER 4 2

    4 2 1

    Contributions by Members of Parliament to a retirement pension scheme

    1 545 000

    1 386 000

    1 576 856,09

     

    CHAPTER 4 2 — TOTAL

    1 545 000

    1 386 000

    1 576 856,09

     

    Title 4 — Total

    83 064 192

    97 525 636

    73 727 146,68

    CHAPTER 4 0 —

    MISCELLANEOUS TAXES AND DEDUCTIONS

    CHAPTER 4 1 —

    CONTRIBUTIONS TO THE PENSION SCHEME

    CHAPTER 4 2 —

    OTHER CONTRIBUTIONS TO THE PENSION SCHEME

    CHAPTER 4 0 —   MISCELLANEOUS TAXES AND DEDUCTIONS

    4 0 0   Proceeds from taxation on the salaries, wages and allowances of Members of the institutions, officials, other servants and recipients of pensions

    Financial year 2007

    Financial year 2006

    Financial year 2005

    33 571 460

    42 788 413

    33 017 406,05

    Remarks

    Protocol on the Privileges and Immunities of the European Communities, and in particular Article 13 thereof.

    Council Regulation (EEC, Euratom, ECSC) No 260/68 of 29 February 1968 laying down the conditions and procedure for applying the tax for the benefit of the European Communities (OJ L 56, 4.3.1968, p. 8), as last amended by Regulation (EC, Euratom) No 1750/2002 (OJ L 264, 2.10.2002, p. 15).

    4 0 3   Proceeds of the temporary contribution from the salaries of Members of the institution, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    144,92

    Remarks

    Council Regulation (ECSC, EEC, Euratom) No 3831/91 of 19 December 1991 amending the Staff Regulations of officials and the Conditions of employment of other servants of the European Communities with a view to introducing a temporary contribution (OJ L 361, 31.12.1991, p. 7).

    4 0 4   Proceeds from the special levy on the salaries of Members of the institutions, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    7 598 618

    3 219 786

    2 768 903,51

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 66a thereof.

    CHAPTER 4 1 —   CONTRIBUTIONS TO THE PENSION SCHEME

    4 1 0   Staff contributions to the pension scheme

    Financial year 2007

    Financial year 2006

    Financial year 2005

    36 407 938

    44 382 924

    32 475 273,74

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 83(2) thereof.

    4 1 1   Transfer or purchase of pension rights by staff

    Financial year 2007

    Financial year 2006

    Financial year 2005

    3 936 176

    5 743 513

    3 888 562,37

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Articles 4, 11(2) and (3) and 48 of Annex VIII thereto.

    4 1 2   Contributions to the pension scheme by officials and temporary staff on leave on personal grounds

    Financial year 2007

    Financial year 2006

    Financial year 2005

    5 000

    5 000

    0,—

    CHAPTER 4 2 —   OTHER CONTRIBUTIONS TO THE PENSION SCHEME

    4 2 1   Contributions by Members of Parliament to a retirement pension scheme

    Financial year 2007

    Financial year 2006

    Financial year 2005

    1 545 000

    1 386 000

    1 576 856,09

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Annex III thereto.

    TITLE 5

    REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTION

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 5 0

    5 0 0

    Proceeds from the sale of movable property (supply of goods)

    5 0 0 0

    Proceeds from the sale of vehicles — Assigned revenue

    p.m.

    p.m.

    115 598,88

    5 0 0 1

    Proceeds from the sale of other movable property — Assigned revenue

    p.m.

    p.m.

    0,—

    5 0 0 2

    Proceeds from the supply of goods to other institutions or bodies — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 5 0 0 — Total

    p.m.

    p.m.

    115 598,88

    5 0 1

    Proceeds from the sale of immovable property

    p.m.

    p.m.

    0,—

    5 0 2

    Proceeds from the sale of publications, printed works and films — Assigned revenue

    p.m.

    p.m.

    536 352,33

     

    CHAPTER 5 0 — TOTAL

    p.m.

    p.m.

    651 951,21

     

    CHAPTER 5 1

    5 1 1

    Proceeds from letting and subletting immovable property and reimbursement of charges connected with lettings

    5 1 1 0

    Proceeds from letting and subletting immovable property — Assigned revenue

    p.m.

    p.m.

    841 996,92

    5 1 1 1

    Reimbursement of charges connected with lettings — Assigned revenue

    p.m.

    p.m.

    23 780,60

     

    Article 5 1 1 — Total

    p.m.

    p.m.

    865 777,52

     

    CHAPTER 5 1 — TOTAL

    p.m.

    p.m.

    865 777,52

     

    CHAPTER 5 2

    5 2 0

    Revenue from investments or loans granted, bank and other interest on the institution's accounts

    1 800 000

    1 500 000

    1 697 380,81

     

    CHAPTER 5 2 — TOTAL

    1 800 000

    1 500 000

    1 697 380,81

     

    CHAPTER 5 5

    5 5 0

    Proceeds from the supply of services and works for other institutions or bodies, including refunds by other institutions or bodies of mission allowances paid on their behalf — Assigned revenue

    p.m.

    p.m.

    1 199 498,75

    5 5 1

    Revenue from third parties in respect of services or work supplied at their request — Assigned revenue

    p.m.

    p.m.

    221 911,39

     

    CHAPTER 5 5 — TOTAL

    p.m.

    p.m.

    1 421 410,14

     

    CHAPTER 5 7

    5 7 0

    Revenue arising from the repayment of amounts wrongly paid — Assigned revenue

    p.m.

    p.m.

    623 456,48

    5 7 1

    Revenue earmarked for a specific purpose, such as income from foundations, subsidies, gifts and bequests, including the earmarked revenue specific to each institution — Assigned revenue

    p.m.

    p.m.

    0,—

    5 7 2

    Repayment of welfare expenditure incurred on behalf of another institution

    p.m.

    p.m.

    0,—

    5 7 3

    Other contributions and refunds in connection with the administrative operation of the institution — Assigned revenue

    p.m.

    p.m.

    1 644 528,96

     

    CHAPTER 5 7 — TOTAL

    p.m.

    p.m.

    2 267 985,44

     

    CHAPTER 5 8

    5 8 1

    Revenue from insurance payments received — Assigned revenue

    p.m.

    p.m.

    1 124 482,26

     

    CHAPTER 5 8 — TOTAL

    p.m.

    p.m.

    1 124 482,26

     

    Title 5 — Total

    1 800 000

    1 500 000

    8 028 987,38

    CHAPTER 5 0 —

    PROCEEDS FROM THE SALE OF MOVABLE PROPERTY (SUPPLY OF GOODS) AND IMMOVABLE PROPERTY

    CHAPTER 5 1 —

    PROCEEDS FROM LETTING AND HIRING

    CHAPTER 5 2 —

    REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST

    CHAPTER 5 5 —

    REVENUE FROM THE SUPPLY OF SERVICES AND WORKS

    CHAPTER 5 7 —

    OTHER CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTION

    CHAPTER 5 8 —

    MISCELLANEOUS PAYMENTS

    CHAPTER 5 0 —   PROCEEDS FROM THE SALE OF MOVABLE PROPERTY (SUPPLY OF GOODS) AND IMMOVABLE PROPERTY

    5 0 0   Proceeds from the sale of movable property (supply of goods)

    5 0 0 0   Proceeds from the sale of vehicles — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    115 598,88

    Remarks

    This item is intended to record revenue accruing from the sale or part-exchange of vehicles belonging to the institutions.

    In accordance with Article 18(1)(e) of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 0 1   Proceeds from the sale of other movable property — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    This item is intended to record revenue from the sale or part-exchange of movable property, other than vehicles, belonging to the institutions.

    In accordance with Article 18(1)(e) of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 0 2   Proceeds from the supply of goods to other institutions or bodies — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18(1)(g) of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    Details of expenditure and revenue resulting from loans or rents or the provision of services under this budget item shall be set out in an annex to this budget.

    5 0 1   Proceeds from the sale of immovable property

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    This article is intended to record revenue from the sale of immovable property belonging to the institutions.

    5 0 2   Proceeds from the sale of publications, printed works and films — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    536 352,33

    Remarks

    In accordance with Article 18(1)(j) of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    This article also contains revenue from the sale of such products on an electronic medium.

    CHAPTER 5 1 —   PROCEEDS FROM LETTING AND HIRING

    5 1 1   Proceeds from letting and subletting immovable property and reimbursement of charges connected with lettings

    5 1 1 0   Proceeds from letting and subletting immovable property — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    841 996,92

    Remarks

    In accordance with Article 18(1)(e) of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    Details of expenditure and revenue resulting from loans or rents or the provision of services under this budget item shall be set out in an annex to this budget.

    5 1 1 1   Reimbursement of charges connected with lettings — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    23 780,60

    Remarks

    In accordance with Article 18(1)(e) of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 2 —   REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST

    5 2 0   Revenue from investments or loans granted, bank and other interest on the institution's accounts

    Financial year 2007

    Financial year 2006

    Financial year 2005

    1 800 000

    1 500 000

    1 697 380,81

    Remarks

    This article is intended to record revenue from investments or loans granted, bank and other interest on the institution's accounts.

    CHAPTER 5 5 —   REVENUE FROM THE SUPPLY OF SERVICES AND WORKS

    5 5 0   Proceeds from the supply of services and works for other institutions or bodies, including refunds by other institutions or bodies of mission allowances paid on their behalf — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    1 199 498,75

    Remarks

    In accordance with Article 18(1)(g) of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    5 5 1   Revenue from third parties in respect of services or work supplied at their request — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    221 911,39

    Remarks

    In accordance with Article 18(1)(e) of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 7 —   OTHER CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTION

    5 7 0   Revenue arising from the repayment of amounts wrongly paid — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    623 456,48

    Remarks

    In accordance with Article 18(1)(f) of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    5 7 1   Revenue earmarked for a specific purpose, such as income from foundations, subsidies, gifts and bequests, including the earmarked revenue specific to each institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18(1)(c) of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    5 7 2   Repayment of welfare expenditure incurred on behalf of another institution

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    This article is intended to record revenue from the repayment of welfare expenditure incurred on behalf of another institution.

    5 7 3   Other contributions and refunds in connection with the administrative operation of the institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    1 644 528,96

    CHAPTER 5 8 —   MISCELLANEOUS PAYMENTS

    5 8 1   Revenue from insurance payments received — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    1 124 482,26

    Remarks

    In accordance with Article 18(1)(h) of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    This article also includes reimbursement by insurance companies of the salaries of officials involved in accidents.

    TITLE 6

    CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH COMMUNITY AGREEMENTS AND PROGRAMMES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 6 6

    6 6 0

    Other contributions and refunds

    6 6 0 0

    Other assigned contributions and refunds — Assigned revenue

    p.m.

    p.m.

    29 509 537,55

    6 6 0 1

    Other non-assigned contributions and refunds

    p.m.

    p.m.

    0,—

     

    Article 6 6 0 — Total

    p.m.

    p.m.

    29 509 537,55

     

    CHAPTER 6 6 — TOTAL

    p.m.

    p.m.

    29 509 537,55

     

    Title 6 — Total

    p.m.

    p.m.

    29 509 537,55

    CHAPTER 6 6 —

    OTHER CONTRIBUTIONS AND REFUNDS

    CHAPTER 6 6 —   OTHER CONTRIBUTIONS AND REFUNDS

    6 6 0   Other contributions and refunds

    6 6 0 0   Other assigned contributions and refunds — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    29 509 537,55

    Remarks

    This item is intended to record, pursuant to Article 18 of the Financial Regulation, any revenue not provided for in other parts of Title 6 and which is used to provide additional appropriations to finance expenditure to which this revenue is assigned.

    6 6 0 1   Other non-assigned contributions and refunds

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    TITLE 9

    MISCELLANEOUS REVENUE

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 9 0

    9 0 0

    Miscellaneous revenue

    p.m.

    p.m.

    1 127 885,46

     

    CHAPTER 9 0 — TOTAL

    p.m.

    p.m.

    1 127 885,46

     

    Title 9 — Total

    p.m.

    p.m.

    1 127 885,46

     

    GRAND TOTAL

    84 864 192

    99 025 636

    112 393 557,07

    CHAPTER 9 0 —

    MISCELLANEOUS REVENUE

    CHAPTER 9 0 —   MISCELLANEOUS REVENUE

    9 0 0   Miscellaneous revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    1 127 885,46

    Remarks

    This article is intended to receive miscellaneous revenue.

    Details of expenditure and revenue resulting from loans or rents or the provision of services under this Article shall be set out in an annex to this budget.

    EXPENDITURE

    General summary of appropriations (2007 and 2006) and outturn (2005)

    Title

    Chapter

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1

    PERSONS WORKING WITH THE INSTITUTION

    1 0

    MEMBERS OF THE INSTITUTION

    147 454 000

    138 974 540

    137 316 250,96

    1 2

    OFFICIALS AND TEMPORARY STAFF

    462 474 438

    477 005 583

    400 278 501,78

    1 4

    OTHER STAFF AND OUTSIDE SERVICES

    103 627 250

    81 954 606

    81 271 032,52

    1 6

    OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    12 339 464

    13 598 308

    7 658 457,47

     

    Title 1 — Total

    725 895 152

    711 533 037

    626 524 242,73

    2

    BUILDINGS, FURNITURE, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    2 0

    BUILDINGS AND ASSOCIATED COSTS

    140 429 625

    142 095 108

    274 063 950,70

    2 1

    DATA PROCESSING, EQUIPMENT AND FURNITURE: PURCHASE, HIRE AND MAINTENANCE

    104 235 175

    98 084 007

    87 511 836,06

    2 3

    CURRENT ADMINISTRATIVE EXPENDITURE

    15 022 200

    15 272 220

    11 423 259,96

     

    Title 2 — Total

    259 687 000

    255 451 335

    372 999 046,72

    3

    EXPENDITURE RESULTING FROM GENERAL FUNCTIONS CARRIED OUT BY THE INSTITUTION

    3 0

    MEETINGS AND CONFERENCES

    29 091 535

    27 164 435

    22 641 052,39

    3 2

    EXPERTISE AND INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISSEMINATION

    82 480 732

    65 908 800

    44 005 437,20

     

    Title 3 — Total

    111 572 267

    93 073 235

    66 646 489,59

    4

    EXPENDITURE RESULTING FROM SPECIAL FUNCTIONS CARRIED OUT BY THE INSTITUTION

    4 0

    EXPENDITURE RELATING TO CERTAIN INSTITUTIONS AND BODIES

    61 076 000

    58 216 000

    54 761 661,75

    4 2

    EXPENDITURE RELATING TO PARLIAMENTARY ASSISTANCE

    144 595 563

    136 289 000

    127 985 027,36

    4 4

    MEETINGS AND OTHER ACTIVITIES OF CURRENT AND FORMER MEMBERS

    222 000

    180 000

    180 000,—

     

    Title 4 — Total

    205 893 563

    194 685 000

    182 926 689,11

    10

    OTHER EXPENDITURE

    10 0

    PROVISIONAL APPROPRIATIONS

    12 821 713

    33 681 580

    18 436 618,—

    10 1

    CONTINGENCY RESERVE

    9 190 479

    13 175 813

    0,—

    10 3

    ENLARGEMENT RESERVE

    p.m.

    p.m.

    0,—

    10 4

    RESERVE FOR INFORMATION AND COMMUNICATION POLICY

    22 400 000

    20 000 000

     

    10 5

    PROVISIONAL APPROPRIATION FOR BUILDINGS

    50 000 000

     

     

     

    Title 10 — Total

    94 412 192

    66 857 393

    18 436 618,—

     

    GRAND TOTAL

    1 397 460 174

    1 321 600 000

    1 267 533 086,15

    TITLE 1

    PERSONS WORKING WITH THE INSTITUTION

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 1 0

    1 0 0

    Salaries, allowances and payments related to salaries

    1 0 0 0

    Salaries, allowances and payments related to salaries

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 0 0 4

    Travel and subsistence allowances, attendance at meetings and associated expenditure

     

     

     

    Non-differentiated appropriations

    77 500 000

    73 151 000

    72 248 999,36

    1 0 0 5

    Special travel expenses in the exercise of the parliamentary mandate

     

     

     

    Non-differentiated appropriations

    1 460 000

    1 710 000

    1 249 291,—

    1 0 0 6

    General expenditure allowance

     

     

     

    Non-differentiated appropriations

    37 514 000

    34 275 000

    33 326 925,—

    1 0 0 7

    Allowances for performance of duties

     

     

     

    Non-differentiated appropriations

    164 000

    160 000

    155 539,04

     

    Article 1 0 0 — Total

    116 638 000

    109 296 000

    106 980 754,40

    1 0 1

    Accident and sickness insurance and other welfare measures

    1 0 1 0

    Accident and sickness insurance and other social security charges

     

     

     

    Non-differentiated appropriations

    1 890 000

    2 153 540

    1 697 921,38

    1 0 1 2

    Specific measures to assist disabled Members and Members’ disabled children

     

     

     

    Non-differentiated appropriations

    135 000

    149 000

    0,—

     

    Article 1 0 1 — Total

    2 025 000

    2 302 540

    1 697 921,38

    1 0 2

    Temporary allowances

     

     

     

    Non-differentiated appropriations

    70 000

    400 000

    4 942 107,70

    1 0 3

    Pensions

    1 0 3 0

    Retirement pensions

     

     

     

    Non-differentiated appropriations

    10 258 000

    10 166 000

    9 393 814,90

    1 0 3 1

    Invalidity pensions

     

     

     

    Non-differentiated appropriations

    508 000

    522 000

    463 432,51

    1 0 3 2

    Survivors’ pensions

     

     

     

    Non-differentiated appropriations

    2 582 000

    2 330 000

    2 246 948,15

    1 0 3 3

    Optional pension scheme for Members

     

     

     

    Non-differentiated appropriations

    14 373 000

    12 158 000

    10 869 535,12

     

    Article 1 0 3 — Total

    27 721 000

    25 176 000

    22 973 730,68

    1 0 5

    Language and data-processing courses

     

     

     

    Non-differentiated appropriations

    900 000

    700 000

    650 000,—

    1 0 8

    Exchange losses

     

     

     

    Non-differentiated appropriations

    100 000

    100 000

    71 736,80

    1 0 9

    Provisional appropriation to cover the allowances of Members of the institution

     

     

     

    Non-differentiated appropriations

    p.m.

    1 000 000

    0,—

     

    CHAPTER 1 0 — TOTAL

    147 454 000

    138 974 540

    137 316 250,96

     

    CHAPTER 1 2

    1 2 0

    Remuneration and other entitlements

    1 2 0 0

    Remuneration and allowances

     

     

     

    Non-differentiated appropriations

    448 446 662  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    452 168 775  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    382 123 773,55

    1 2 0 2

    Paid overtime

     

     

     

    Non-differentiated appropriations

    410 000

    357 391

    333 350,—

    1 2 0 4

    Entitlements in connection with entering the service, transfer and leaving the service

     

     

     

    Non-differentiated appropriations

    4 937 776

    8 436 127

    5 954 107,—

     

    Article 1 2 0 — Total

    453 794 438

    460 962 293

    388 411 230,55

    1 2 2

    Allowances upon early termination of service

    1 2 2 0

    Allowances for staff retired in the interests of the service

     

     

     

    Non-differentiated appropriations

    580 000

    502 328

    690 863,83

    1 2 2 2

    Allowances for staff whose service is terminated and special retirement scheme for officials and temporary staff

     

     

     

    Non-differentiated appropriations

    8 100 000

    10 493 419

    11 176 407,40

     

    Article 1 2 2 — Total

    8 680 000

    10 995 747

    11 867 271,23

    1 2 4

    Provisional appropriation

     

     

     

    Non-differentiated appropriations

    p.m.

    5 047 543  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    0,—

     

    CHAPTER 1 2 — TOTAL

    462 474 438

    477 005 583

    400 278 501,78

     

    CHAPTER 1 4

    1 4 0

    Other staff and externals

    1 4 0 0

    Other staff

     

     

     

    Non-differentiated appropriations

    32 700 000

    32 410 573

    21 611 177,52

    1 4 0 2

    Conference interpreters

     

     

     

    Non-differentiated appropriations

    48 072 250  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    29 590 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    41 650 000,—

    1 4 0 4

    Graduate traineeships, grants and exchanges of officials

     

     

     

    Non-differentiated appropriations

    6 265 000

    4 950 450

    4 175 493,97

    1 4 0 6

    Observers

     

     

     

    Non-differentiated appropriations

    p.m.

    3 367 000

    917 162,49

    1 4 0 7

    Training allowance (European Parliament apprenticeship programme)

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    Article 1 4 0 — Total

    87 037 250

    70 318 023

    68 353 833,98

    1 4 2

    Outside services

     

     

     

    Non-differentiated appropriations

    16 590 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    11 331 825  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    12 917 198,54

    1 4 4

    Provisional appropriation

     

     

     

    Non-differentiated appropriations

    p.m.

    304 758

    0,—

     

    CHAPTER 1 4 — TOTAL

    103 627 250

    81 954 606

    81 271 032,52

     

    CHAPTER 1 6

    1 6 1

    Expenditure relating to staff management

    1 6 1 0

    Expenditure on recruitment

     

     

     

    Non-differentiated appropriations

    150 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    290 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    527 309,41

    1 6 1 2

    Further training

     

     

     

    Non-differentiated appropriations

    3 100 000

    2 640 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    1 990 304,51

    1 6 1 3

    Further training: mission costs

     

     

     

    Non-differentiated appropriations

    995 000

    975 000

    720 000,—

     

    Article 1 6 1 — Total

    4 245 000

    3 905 000

    3 237 613,92

    1 6 3

    Measures to assist the institution's staff

    1 6 3 0

    Social welfare

     

     

     

    Non-differentiated appropriations

    484 000

    464 600

    297 718,45

    1 6 3 2

    Social contacts between members of staff and other social measures

     

     

     

    Non-differentiated appropriations

    306 000

    285 000

    255 000,—

     

    Article 1 6 3 — Total

    790 000

    749 600

    552 718,45

    1 6 5

    Activities relating to all persons working with the institution

    1 6 5 0

    Medical service

     

     

     

    Non-differentiated appropriations

    900 000

    835 000

    691 466,33

    1 6 5 2

    Current operating expenditure for restaurants and canteens

     

     

     

    Non-differentiated appropriations

    600 000

    600 000

    450 000,—

    1 6 5 4

    Early childhood centre and approved day nurseries

     

     

     

    Non-differentiated appropriations

    5 804 464

    7 508 708

    2 726 658,77

     

    Article 1 6 5 — Total

    7 304 464

    8 943 708

    3 868 125,10

     

    CHAPTER 1 6 — TOTAL

    12 339 464

    13 598 308

    7 658 457,47

     

    Title 1 — Total

    725 895 152

    711 533 037

    626 524 242,73

    CHAPTER 1 0 —

    MEMBERS OF THE INSTITUTION

    CHAPTER 1 2 —

    OFFICIALS AND TEMPORARY STAFF

    CHAPTER 1 4 —

    OTHER STAFF AND OUTSIDE SERVICES

    CHAPTER 1 6 —

    OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    CHAPTER 1 0 —   MEMBERS OF THE INSTITUTION

    1 0 0   Salaries, allowances and payments related to salaries

    1 0 0 0   Salaries, allowances and payments related to salaries

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    This appropriation is intended to cover salaries, allowances and payments related to salaries for Members of the European Parliament, which should be provided through the budget of that institution rather than from the budgets of the Member States, in conformity with the practice for Members of other Community institutions.

    1 0 0 4   Travel and subsistence allowances, attendance at meetings and associated expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    77 500 000

    73 151 000

    72 248 999,36

    Remarks

    This appropriation has been calculated on the basis of current rules for the refund of travel and subsistence expenses.

    It is also intended to cover the costs of participation in a conference of parliamentarians of the World Trade Organisation (WTO) Member States and in meetings of a WTO Parliamentary Assembly, once such an Assembly has been established.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    1 0 0 5   Special travel expenses in the exercise of the parliamentary mandate

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 460 000

    1 710 000

    1 249 291,—

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Article 10 thereof.

    1 0 0 6   General expenditure allowance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    37 514 000

    34 275 000

    33 326 925,—

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Article 13 thereof.

    Allowance intended to cover expenses resulting from the parliamentary activities of Members, particularly in the country in which they were elected.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 25 000.

    1 0 0 7   Allowances for performance of duties

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    164 000

    160 000

    155 539,04

    Remarks

    Bureau decision of 20 March 1991.

    This appropriation is intended to cover the flat-rate subsistence and representation allowances in connection with the duties of the President.

    1 0 1   Accident and sickness insurance and other welfare measures

    1 0 1 0   Accident and sickness insurance and other social security charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 890 000

    2 153 540

    1 697 921,38

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Articles 17, 18, 19, 20 and 21 thereof.

    Bureau decision of 20 October 1958, as last amended by the Bureau decision of 3 April 1990.

    Bureau decision of 24 September 1986, as last amended by the Bureau decision of 17 July 1997.

    Bureau decision of 18 June 1975, as last amended by the Bureau decision of 3 April 1990.

    Bureau decision of 19 January 1978, as last amended by the Bureau decision of 17 July 1997.

    This appropriation is intended to cover accident insurance, sickness insurance, repatriation costs, reimbursement of the cost of the annual medical examination, life assurance, and loss and theft insurance covering personal effects and data-processing equipment.

    1 0 1 2   Specific measures to assist disabled Members and Members’ disabled children

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    135 000

    149 000

    0,—

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Articles 21a and 21b thereof.

    1 0 2   Temporary allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    70 000

    400 000

    4 942 107,70

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Annex V thereto.

    Bureau decision of 18 May 1988, as last amended by the Bureau decision of 16 February 1998.

    This appropriation is intended to cover the end-of-service allowance.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    1 0 3   Pensions

    1 0 3 0   Retirement pensions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    10 258 000

    10 166 000

    9 393 814,90

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Annex III thereto.

    Bureau decision of 24 and 25 May 1982, as amended by the Bureau decision of 13 September 1995.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 50 000.

    1 0 3 1   Invalidity pensions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    508 000

    522 000

    463 432,51

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Annex II thereto.

    Bureau decision of 24 and 25 May 1982, as last amended by the Bureau decision of 3 April 1995.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 20 000.

    1 0 3 2   Survivors’ pensions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 582 000

    2 330 000

    2 246 948,15

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Annex I thereto.

    Bureau decision of 29 April 1980, as last amended by the Bureau decision of 10 July 1995.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 15 000.

    1 0 3 3   Optional pension scheme for Members

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    14 373 000

    12 158 000

    10 869 535,12

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Annex IX thereto.

    Bureau decision of 12 June 1990, as last amended by the Bureau decision of 20 September 2000.

    This appropriation is intended to cover the institution's contribution to the voluntary supplementary pension scheme for Members.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 300 000.

    1 0 5   Language and data-processing courses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    900 000

    700 000

    650 000,—

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Articles 4, 8, 12, 22 and 22a thereof.

    Bureau decision of 10 May 1989, as last amended by the Bureau decision of 1 July 2002.

    This appropriation is intended to cover the cost of language courses for Members of the institution, the cost of data-processing courses for Members and their assistants, distance-learning costs and the purchase of self-tuition materials.

    1 0 8   Exchange losses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    100 000

    100 000

    71 736,80

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Article 13 thereof.

    This appropriation is intended to cover exchange differences relating to the general expenditure allowance.

    1 0 9   Provisional appropriation to cover the allowances of Members of the institution

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    1 000 000

    0,—

    Remarks

    This appropriation is intended to cover the effects of any adjustments to payments to Members of the institution.

    This appropriation is purely provisional and may only be used after its transfer to other headings in accordance with the Financial Regulation.

    CHAPTER 1 2 —   OFFICIALS AND TEMPORARY STAFF

    1 2 0   Remuneration and other entitlements

    1 2 0 0   Remuneration and allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    448 446 662  (152)

    452 168 775  (153)

    382 123 773,55

    Remarks

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is mainly intended to cover, for officials and temporary staff holding a post provided for in the establishment plan:

    salaries, allowances and other payments related to salaries,

    insurance against sickness, accidents and occupational disease and other social security charges,

    flat-rate overtime allowances,

    miscellaneous allowances and grants,

    payment of travel expenses for officials or temporary staff, their spouses and dependants from their place of employment to their place of origin,

    the impact of salary weightings applicable to remuneration and to the part of emoluments transferred to a country other than the country of employment,

    unemployment insurance for temporary staff and payments by the institution to temporary staff in order to constitute or maintain their pension rights in their countries of origin.

    This appropriation is also intended to cover the insurance premiums in respect of sports accidents for users of the European Parliament’s sports centre in Brussels and in Strasbourg.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 500 000.

    1 2 0 2   Paid overtime

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    410 000

    357 391

    333 350,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 56 thereof and Annex VI thereto.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover the payment of overtime in accordance with the abovementioned provisions.

    1 2 0 4   Entitlements in connection with entering the service, transfer and leaving the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    4 937 776

    8 436 127

    5 954 107,—

    Remarks

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    travel expenses due to officials and temporary staff (including their families) entering or leaving the service or being transferred to another place of employment,

    installation/resettlement allowances and removal expenses due to officials and temporary staff obliged to change their place of residence on taking up duty, on transfer to a new place of employment and on finally leaving the institution and resettling elsewhere,

    daily subsistence allowance for officials and temporary staff who furnish evidence that they must change their place of residence on taking up duty or transferring to a new place of employment,

    the compensation for a probationary official who is dismissed because his work is obviously inadequate,

    compensation for a member of the temporary staff whose contract is terminated by the institution,

    the difference between the contributions paid by auxiliary staff to a Member State pension scheme and those payable to the Community scheme in the event of reclassification of a contract.

    1 2 2   Allowances upon early termination of service

    1 2 2 0   Allowances for staff retired in the interests of the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    580 000

    502 328

    690 863,83

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Articles 41 and 50 thereof and Annex IV thereto.

    This appropriation is intended to cover the allowances payable to officials:

    assigned non-active status in connection with action to reduce the number of posts in the institution,

    holding an AD 16 or AD 15 grade post who are retired in the interests of the service.

    It also covers the employer's contribution to sickness insurance and the impact of weightings applicable to these allowances.

    1 2 2 2   Allowances for staff whose service is terminated and special retirement scheme for officials and temporary staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    8 100 000

    10 493 419

    11 176 407,40

    Remarks

    Council Regulation (EC, Euratom, ECSC) No 2688/95 of 17 November 1995 introducing special measures to terminate the service of officials of the European Communities as a result of the accession of Austria, Finland and Sweden (OJ L 280, 23.11.1995, p. 1), as amended by Regulation (EC, ECSC, Euratom) No 2458/98 (OJ L 307, 17.11.1998, p. 1).

    Council Regulation (EC, Euratom, ECSC) No 2689/95 of 17 November 1995 introducing special measures to terminate the service of temporary staff of the European Communities as a result of the accession of Austria, Finland and Sweden (OJ L 280, 23.11.1995, p. 4), as amended by Regulation (EC, ECSC, Euratom) No 2458/98 (OJ L 307, 17.11.1998, p. 1).

    Council Regulation (EC, Euratom) No 1748/2002 of 30 September 2002 introducing, in the context of the modernisation of the institution, special measures to terminate the service of officials of the European Communities appointed to an established post in the European Parliament and temporary staff working in the political groups of the European Parliament (OJ L 264, 2.10.2002, p. 9).

    Staff Regulations of officials of the European Communities, and in particular Articles 64 and 72 thereof.

    This appropriation is intended to cover:

    the allowances payable under the Staff Regulations or the other regulations referred to above,

    the employer's contributions towards sickness insurance for the recipients of the allowances,

    the impact of the salary weightings applicable to the various allowances.

    1 2 4   Provisional appropriation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    5 047 543  (154)

    0,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 65 thereof and Annex XI thereto.

    This appropriation is intended to cover the impact of any salary adjustments agreed by the Council during the financial year.

    It is provisional and can be used only after transfer to the appropriate headings of this chapter.

    CHAPTER 1 4 —   OTHER STAFF AND OUTSIDE SERVICES

    1 4 0   Other staff and externals

    1 4 0 0   Other staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    32 700 000

    32 410 573

    21 611 177,52

    Remarks

    Conditions of employment of other servants of the European Communities.

    This appropriation is mainly intended to cover the following:

    the remuneration of other staff including contract and local staff and special advisers (within the meaning of the Conditions of employment of other servants of the European Communities), employer's contributions to the various social security schemes and the impact of salary weightings applicable to the remuneration of these staff,

    fees of medical and paramedical staff paid under the arrangements for the provision of services and, in special cases, the employment of temporary agency staff.

    1 4 0 2   Conference interpreters

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    48 072 250  (155)

    29 590 000  (156)

    41 650 000,—

    Remarks

    Conditions of employment of other servants of the European Communities.

    Agreement on auxiliary conference interpreters.

    This appropriation is intended to cover the following within the framework of interinstitutional cooperation:

    the fees, social security contributions, travel expenses and subsistence allowances of auxiliary conference interpreters used by Parliament to service meetings organised by Parliament or by other institutions which cannot be serviced by Parliament interpreters (officials and temporary staff),

    expenditure on conference agencies, technicians and administrators used to service the above meetings where they cannot be serviced by officials, temporary staff or other staff,

    services provided to Parliament by interpreters who are officials or temporary staff members in other institutions,

    language-related interinstitutional cooperation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 200 000.

    1 4 0 4   Graduate traineeships, grants and exchanges of officials

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    6 265 000

    4 950 450

    4 175 493,97

    Remarks

    Bureau decision of 26 October 1988, as last amended by the Bureau decision of 2 February 2000.

    This appropriation is intended to cover:

    an allowance, travel and mission expenses for trainees, and accident and sickness insurance during courses,

    expenditure arising from movements between the European Parliament and the public sector in the Member States or other countries specified in the rules,

    the organising of training schemes for conference interpreters, inter alia in cooperation with schools of interpreting, as well as grants for the training and further training of interpreters, purchase of teaching materials, and associated costs.

    1 4 0 6   Observers

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    3 367 000

    917 162,49

    Remarks

    The appropriation is intended to cover the refund of travel expenses and the payment of a subsistence allowance to observers per day's attendance at plenary sittings and committee, delegation and political group meetings at Parliament’s places of work and at political group meetings approved by the Conference of Presidents outside the places of work.

    1 4 0 7   Training allowance (European Parliament apprenticeship programme)

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    This appropriation is intended to remunerate the work of trainees taking part in the European Parliament’s apprenticeship programme.

    1 4 2   Outside services

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    16 590 000  (157)

    11 331 825  (158)

    12 917 198,54

    Remarks

    This appropriation is intended for the translation, typing, coding and technical assistance work sent to outside suppliers and expenditure relating to measures adopted by the Interinstitutional Committee on Translation and Interpretation to promote language-related interinstitutional cooperation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 522 000.

    1 4 4   Provisional appropriation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    304 758

    0,—

    Remarks

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover the impact of any salary adjustments agreed by the Council during the financial year.

    It is provisional and can be used only after transfer to the appropriate headings of this chapter.

    CHAPTER 1 6 —   OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    1 6 1   Expenditure relating to staff management

    1 6 1 0   Expenditure on recruitment

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    150 000  (159)

    290 000  (160)

    527 309,41

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Articles 27 to 31 and 33 thereof and Annex III thereto.

    Decision 2002/620/EC of the European Parliament, the Council, the Commission, the Court of Justice, the Court of Auditors, the Economic and Social Committee, the Committee of the Regions and the European Ombudsman of 25 July 2002 establishing a European Communities Personnel Selection Office (OJ L 197, 26.7.2002, p. 53) and Decision 2002/621/EC of the Secretaries-General of the European Parliament, the Council and the Commission, the Registrar of the Court of Justice, the Secretaries-General of the Court of Auditors, the Economic and Social Committee, the Committee of the Regions, and the Representative of the European Ombudsman of 25 July 2002 on the organisation and operation of the European Communities Personnel Selection Office (OJ L 197, 26.7.2002, p. 56).

    This appropriation is intended to cover:

    expenditure on organising the competitions provided for in Article 3 of Decision 2002/621/EC and travel and subsistence expenses for applicants called for interviews and medical examinations,

    the costs of organising procedures for selecting temporary and contract staff.

    In cases duly justified by operating requirements, and after consulting the Office, this appropriation may be used for competitions organised by the institution on its own.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 50 000.

    An amount of EUR 58 000 has been placed in the reserve. Parliament’s Administration is requested to carry out regular monitoring and provide a report on 1 May 2007 on the progress achieved on the recruitment of staff from Romania and Bulgaria (number of officials and temporary and contract staff, and recruitment sector) as well as on staff recruitment in connection with the 2004 enlargement. A follow-up report should be presented by 1 September 2007.

    1 6 1 2   Further training

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 100 000

    2 640 000  (161)

    1 990 304,51

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 24a thereof.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    further professional training and retraining courses, including language courses run on an interinstitutional basis. In duly justified cases, some of the appropriations may be used to cover the organisation of courses within the institution. The courses run in Brussels are also open to parliamentary assistants in Brussels, in respect of which an allowance is paid by the European Parliament pursuant to Article 14 of the Rules governing the payment of expenses and allowances to Members,

    expenditure relating to the purchase or production of teaching materials and to the performance of specific studies by specialists for devising and implementing training programmes,

    professional training courses which raise awareness about matters concerning disabled people and training measures in connection with equal opportunities and careers advice, with particular reference to skill profiles.

    1 6 1 3   Further training: mission costs

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    995 000

    975 000

    720 000,—

    Remarks

    This appropriation is intended to cover mission costs relating to further training.

    1 6 3   Measures to assist the institution's staff

    1 6 3 0   Social welfare

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    484 000

    464 600

    297 718,45

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Articles 9(3), third subparagraph, and 76 thereof.

    This appropriation is intended to cover:

    as part of an interinstitutional policy to assist persons with a disability in the following categories:

    officials and temporary staff in active employment,

    spouses of officials and temporary staff in active employment,

    dependent children within the meaning of the Staff Regulations of officials of the European Communities,

    reimbursement, subject to budgetary ceilings and once any national entitlements granted in the country of residence or of origin have been exhausted, of non-medical expenditure that is deemed necessary, results from disablement, is duly substantiated and is not refunded by the Joint Sickness Insurance Scheme,

    action taken in respect of officials and other servants in particularly difficult situations,

    the financing of a grant for the Staff Committee and incidental expenditure in the Welfare Service.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 8 000.

    1 6 3 2   Social contacts between members of staff and other social measures

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    306 000

    285 000

    255 000,—

    Remarks

    This appropriation is intended to encourage and provide financial backing for schemes to promote social contact between staff of different nationalities, for example subsidies to staff clubs, sports associations, cultural societies, etc., and to make a contribution to the cost of a permanent leisure centre (cultural and sports activities, hobbies, restaurant).

    It also covers financial support for interinstitutional social activities.

    1 6 5   Activities relating to all persons working with the institution

    1 6 5 0   Medical service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    900 000

    835 000

    691 466,33

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 59 thereof and Article 8 of Annex II thereto.

    This appropriation is intended to cover the operating costs of the medical service at the three places of work, including the purchase of materials and pharmaceutical products, etc., expenditure on preventive medical check-ups, expenditure arising from the operation of the Invalidity Committee and expenditure on services provided by outside medical specialists deemed necessary by the medical officers.

    It also covers expenditure involving the purchase of certain work tools deemed necessary on medical grounds.

    1 6 5 2   Current operating expenditure for restaurants and canteens

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    600 000

    600 000

    450 000,—

    Remarks

    This appropriation is intended to cover restaurant and canteen operating costs.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 2 000 000.

    1 6 5 4   Early childhood centre and approved day nurseries

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    5 804 464

    7 508 708

    2 726 658,77

    Remarks

    This appropriation is intended to cover Parliament’s contribution to all the expenditure of the early childhood centre and outside crèches with which an agreement has been concluded.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation from parental contributions is estimated at EUR 1 010 000.

    TITLE 2

    BUILDINGS, FURNITURE, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 2 0

    2 0 0

    Buildings

    2 0 0 0

    Rent

     

     

     

    Non-differentiated appropriations

    25 853 800

    39 426 776  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    39 450 269,24

    2 0 0 1

    Lease payments

     

     

     

    Non-differentiated appropriations

    3 475 000

    1 136 000

    46 199 590,—

    2 0 0 3

    Acquisition of immovable property

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    97 876 424,41

    2 0 0 5

    Construction of buildings

     

     

     

    Non-differentiated appropriations

    4 000 000

    p.m.

    0,—

    2 0 0 7

    Fitting-out of premises

     

     

     

    Non-differentiated appropriations

    17 422 800  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    11 415 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    16 641 681,94

    2 0 0 8

    Other expenditure on buildings

     

     

     

    Non-differentiated appropriations

    11 187 000

    1 736 887  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    3 966 240,32

    2 0 0 9

    Provisional appropriation to cover the institution's property investments

     

     

     

    Non-differentiated appropriations

    0

    15 000 000

    0,—

     

    Article 2 0 0 — Total

    61 938 600

    68 714 663

    204 134 205,91

    2 0 2

    Expenditure on buildings

    2 0 2 2

    Cleaning and maintenance

     

     

     

    Non-differentiated appropriations

    30 626 000

    27 624 421

    29 607 867,57

    2 0 2 4

    Energy consumption

     

     

     

    Non-differentiated appropriations

    13 493 000

    12 169 634

    11 580 941,33

    2 0 2 6

    Security and surveillance of buildings

     

     

     

    Non-differentiated appropriations

    32 897 625  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    32 128 000

    27 480 145,20

    2 0 2 8

    Insurance

     

     

     

    Non-differentiated appropriations

    1 474 400

    1 458 390

    1 260 790,69

     

    Article 2 0 2 — Total

    78 491 025

    73 380 445

    69 929 744,79

     

    CHAPTER 2 0 — TOTAL

    140 429 625

    142 095 108

    274 063 950,70

     

    CHAPTER 2 1

    2 1 0

    Equipment, operating costs and services relating to data processing and telecommunications

    2 1 0 0

    Purchase, servicing and maintenance of equipment and software

     

     

     

    Non-differentiated appropriations

    44 862 000

    38 090 062  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    31 480 908,22

    2 1 0 2

    Outside assistance in connection with the operation, development and maintenance of software systems

     

     

     

    Non-differentiated appropriations

    30 137 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    29 099 829

    30 424 511,67

     

    Article 2 1 0 — Total

    74 999 000

    67 189 891

    61 905 419,89

    2 1 2

    Furniture

     

     

     

    Non-differentiated appropriations

    7 006 000

    4 318 000

    3 274 368,24

    2 1 4

    Technical equipment and installations

     

     

     

    Non-differentiated appropriations

    16 951 075

    21 567 116

    18 428 060,08

    2 1 6

    Vehicles

     

     

     

    Non-differentiated appropriations

    5 279 100

    5 009 000

    3 903 987,85

     

    CHAPTER 2 1 — TOTAL

    104 235 175

    98 084 007

    87 511 836,06

     

    CHAPTER 2 3

    2 3 0

    Stationery, office supplies and miscellaneous consumables

     

     

     

    Non-differentiated appropriations

    3 191 800

    3 132 220

    2 512 305,74

    2 3 1

    Financial charges

     

     

     

    Non-differentiated appropriations

    670 000

    640 000

    495 000,—

    2 3 2

    Legal costs and damages

     

     

     

    Non-differentiated appropriations

    249 400

    270 000

    154 628,89

    2 3 5

    Telecommunications

     

     

     

    Non-differentiated appropriations

    8 581 000

    8 275 000

    6 561 007,53

    2 3 6

    Postage on correspondence and delivery charges

     

     

     

    Non-differentiated appropriations

    1 125 000

    2 068 000

    817 558,14

    2 3 7

    Removals

     

     

     

    Non-differentiated appropriations

    520 000

    395 000

    277 423,65

    2 3 8

    Other administrative expenditure

     

     

     

    Non-differentiated appropriations

    685 000

    492 000

    605 336,01

     

    CHAPTER 2 3 — TOTAL

    15 022 200

    15 272 220

    11 423 259,96

     

    Title 2 — Total

    259 687 000

    255 451 335

    372 999 046,72

    CHAPTER 2 0 —

    BUILDINGS AND ASSOCIATED COSTS

    CHAPTER 2 1 —

    DATA PROCESSING, EQUIPMENT AND FURNITURE: PURCHASE, HIRE AND MAINTENANCE

    CHAPTER 2 3 —

    CURRENT ADMINISTRATIVE EXPENDITURE

    Remarks

    Since risk cover has been revoked by insurance companies, the risk of industrial conflicts and terrorist attacks for the European Parliament buildings needs to be covered through the European Union budget.

    The appropriations of this title accordingly cover all expenses in connection with damage resulting from industrial conflicts and terrorist attacks.

    CHAPTER 2 0 —   BUILDINGS AND ASSOCIATED COSTS

    2 0 0   Buildings

    2 0 0 0   Rent

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    25 853 800

    39 426 776  (169)

    39 450 269,24

    Remarks

    This appropriation is intended to cover rent for the buildings or parts of buildings occupied by Parliament.

    It also covers property tax. The rentals are calculated over 12 months on the basis of existing leases or leases in preparation, which normally provide for cost of living or construction cost index-linking.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 500 000.

    2 0 0 1   Lease payments

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 475 000

    1 136 000

    46 199 590,—

    Remarks

    This appropriation is intended to cover the annual lease payments for buildings or parts of buildings under existing leases or leases in preparation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100 000.

    2 0 0 3   Acquisition of immovable property

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    97 876 424,41

    Remarks

    This appropriation is intended to cover the acquisition of immovable property. The subsidies in respect of the sites and their development will be dealt with in accordance with the provisions of the Financial Regulation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100 000.

    2 0 0 5   Construction of buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    4 000 000

    p.m.

    0,—

    Remarks

    This article is intended to accommodate a possible appropriation for the construction of buildings.

    2 0 0 7   Fitting-out of premises

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    17 422 800  (170)

    11 415 000  (171)

    16 641 681,94

    Remarks

    This appropriation is intended to cover the performance of fitting-out work, including other expenditure connected with that work, in particular architects’ or engineers’ fees, etc.

    2 0 0 8   Other expenditure on buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    11 187 000

    1 736 887  (172)

    3 966 240,32

    Remarks

    This appropriation is intended to cover:

    expenditure on buildings not specifically provided for in the other articles in this chapter, including technical or architectural assistance in connection with studies and the preparation and monitoring of maintenance and other work in buildings,

    expenditure also on experts’ assistance in connection with studies on adapting and extending the institution's buildings and with a disabled access audit, which has already been agreed,.

    public-utility service charges.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    2 0 0 9   Provisional appropriation to cover the institution's property investments

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    0

    15 000 000

    0,—

    Remarks

    This article is intended to cover any property investments made by the institution.

    This appropriation is purely provisional and may only be used after its transfer to other headings in accordance with the Financial Regulation.

    2 0 2   Expenditure on buildings

    2 0 2 2   Cleaning and maintenance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    30 626 000

    27 624 421

    29 607 867,57

    Remarks

    This appropriation is intended to cover the cost, on the basis of current contracts, of maintaining premises, lifts, heating and air-conditioning systems and fire doors, as well as rat extermination, repainting and repair work, etc.

    Before renewing or concluding contracts the institution will consult the other institutions on the contractual terms each of them has obtained (prices, currency chosen, index-linking, duration, other clauses) with due regard to Article 91(3) of the Financial Regulation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 50 000.

    2 0 2 4   Energy consumption

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    13 493 000

    12 169 634

    11 580 941,33

    Remarks

    This appropriation is intended to cover, in particular, water, gas, electricity and heating costs.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 50 000.

    2 0 2 6   Security and surveillance of buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    32 897 625  (173)

    32 128 000

    27 480 145,20

    Remarks

    This appropriation is intended to cover essentially the costs of caretaking and surveillance in respect of buildings occupied by Parliament at its three habitual places of work and the information offices.

    Before renewing or concluding contracts the institution will consult the other institutions on the contractual terms each of them has obtained (prices, currency chosen, index-linking, duration, other clauses) with due regard to Article 91(3) of the Financial Regulation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 80 000.

    2 0 2 8   Insurance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 474 400

    1 458 390

    1 260 790,69

    Remarks

    This appropriation is intended to cover payments in respect of insurance policy premiums.

    CHAPTER 2 1 —   DATA PROCESSING, EQUIPMENT AND FURNITURE: PURCHASE, HIRE AND MAINTENANCE

    Remarks

    In connection with public procurement, the institution will consult the other institutions on the contractual terms each of them has obtained.

    2 1 0   Equipment, operating costs and services relating to data processing and telecommunications

    2 1 0 0   Purchase, servicing and maintenance of equipment and software

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    44 862 000

    38 090 062  (174)

    31 480 908,22

    Remarks

    This appropriation is intended to cover expenditure on the purchase, hire, servicing and maintenance of equipment and software for the institution, and related work. This equipment and software relates mainly to systems at the data-processing and telecommunications centre, computing at departmental level and in the political groups and the electronic voting system.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 41 000.

    2 1 0 2   Outside assistance in connection with the operation, development and maintenance of software systems

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    30 137 000  (175)

    29 099 829

    30 424 511,67

    Remarks

    This appropriation is intended to cover the cost of outside assistance from service bureaux and data-processing consultants in connection with the operation of the data-processing centre and the network, the production and maintenance of applications, support for users, including Members and political groups, the carrying out of studies, and the drawing up and input of technical documentation.

    2 1 2   Furniture

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    7 006 000

    4 318 000

    3 274 368,24

    Remarks

    This appropriation is intended to cover the purchase, hire, maintenance and repair of furniture, including the purchase of ergonomic furniture, the replacement of worn-out and broken furniture and office machines.

    In connection with works of art, this appropriation is intended to cover both the cost of acquiring and purchasing specific material and the current expenditure relating thereto, including framing, restoration, cleaning, insurance and ad hoc transport costs.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 5 000.

    2 1 4   Technical equipment and installations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    16 951 075

    21 567 116

    18 428 060,08

    Remarks

    This appropriation is intended to cover the purchase, hire, maintenance and repair of technical equipment and installations, and in particular of:

    miscellaneous fixed and mobile technical installations and equipment in connection with publishing, archiving, security, canteens and buildings, etc.,

    equipment in particular for the printshop, archives, telephone service, canteens, staff shops, security, conferences, the audiovisual sector, etc.,

    installation of two additional telephone lines in Members’ offices upon request.

    This appropriation also covers advertising costs for the resale and scrapping of inventoried items.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 115 000.

    2 1 6   Vehicles

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    5 279 100

    5 009 000

    3 903 987,85

    Remarks

    This appropriation is intended to cover the purchase, maintenance, use and repair of vehicles (fleet of cars and bicycles) and the hire of cars, taxis, coaches and lorries, with or without drivers, including the necessary insurance cover.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 175 000.

    CHAPTER 2 3 —   CURRENT ADMINISTRATIVE EXPENDITURE

    Remarks

    In connection with public procurement, the institution will consult the other institutions on the contractual terms each of them has obtained.

    2 3 0   Stationery, office supplies and miscellaneous consumables

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 191 800

    3 132 220

    2 512 305,74

    Remarks

    This appropriation is intended to cover the purchase of paper, envelopes, office supplies, supplies for the print shop and reproduction workshops, etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 15 000.

    2 3 1   Financial charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    670 000

    640 000

    495 000,—

    Remarks

    This appropriation is intended to cover bank charges (commission, agios and miscellaneous charges) and other financial charges, including ancillary costs for the financing of buildings.

    2 3 2   Legal costs and damages

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    249 400

    270 000

    154 628,89

    Remarks

    This appropriation is intended to cover:

    costs which may be awarded against the European Parliament by the Court of Justice and the Court of First Instance of the European Communities, the cost of hiring outside lawyers to represent Parliament in Community and national courts, and the cost of hiring legal advisers to assist the legal service,

    damages, interest and any debts within the meaning of Article 8(3) of the Financial Regulation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 5 000.

    2 3 5   Telecommunications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    8 581 000

    8 275 000

    6 561 007,53

    Remarks

    This appropriation is intended to cover subscriptions and charges for cable and radio communications (fixed and mobile telephony, and television) plus expenditure on data transmission networks and telematic services.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 140 000.

    2 3 6   Postage on correspondence and delivery charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 125 000

    2 068 000

    817 558,14

    Remarks

    This appropriation is intended to cover charges for postage, processing and delivery by the postal services or private delivery firms.

    This appropriation is also intended to cover mail handling services.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 35 000.

    2 3 7   Removals

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    520 000

    395 000

    277 423,65

    Remarks

    This appropriation is intended to cover the cost of removal and handling work carried out by removal firms or by temporary handling staff supplied by outside agencies.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 40 000.

    2 3 8   Other administrative expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    685 000

    492 000

    605 336,01

    Remarks

    This appropriation is intended to cover:

    insurance not specifically provided for in another item,

    the purchase of uniforms for ushers, drivers and removal men, medical services and various technical services,

    miscellaneous operating expenses, such as for the purchase of railway and flight timetables, the publication of notices of sales of second-hand equipment in newspapers, etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 50 000.

    TITLE 3

    EXPENDITURE RESULTING FROM GENERAL FUNCTIONS CARRIED OUT BY THE INSTITUTION

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 3 0

    3 0 0

    Staff mission expenses

     

     

     

    Non-differentiated appropriations

    22 867 935  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    20 867 935

    18 671 700,—

    3 0 2

    Entertainment and representation expenses

     

     

     

    Non-differentiated appropriations

    787 000

    833 000

    599 337,59

    3 0 4

    Miscellaneous expenditure on meetings

    3 0 4 0

    Miscellaneous expenditure on internal meetings

     

     

     

    Non-differentiated appropriations

    1 772 000

    1 640 000

    1 706 576,87

    3 0 4 2

    Meetings, congresses and conferences

     

     

     

    Non-differentiated appropriations

    1 416 600

    1 418 500

    817 637,70

    3 0 4 4

    Miscellaneous expenditure on the organisation of the Parliamentary Conference on the WTO and other interparliamentary, ad hoc and WTO delegation meetings

     

     

     

    Non-differentiated appropriations

    516 000

    630 000

    422 900,11

    3 0 4 6

    Miscellaneous expenditure on the organisation of ACP-EU Joint Parliamentary Assembly meetings

     

     

     

    Non-differentiated appropriations

    470 000

    430 000

    343 107,77

    3 0 4 8

    Miscellaneous expenditure on the organisation of Euromed Parliamentary Assembly meetings

     

     

     

    Non-differentiated appropriations

    102 000

    100 000

    79 792,35

    3 0 4 9

    Expenditure on travel agency services

     

     

     

    Non-differentiated appropriations

    1 160 000

    1 245 000

    0,—

     

    Article 3 0 4 — Total

    5 436 600

    5 463 500

    3 370 014,80

     

    CHAPTER 3 0 — TOTAL

    29 091 535

    27 164 435

    22 641 052,39

     

    CHAPTER 3 2

    3 2 0

    Acquisition of expertise

     

     

     

    Non-differentiated appropriations

    8 869 600  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    6 944 200

    3 369 648,88

    3 2 2

    Acquisition of information and archiving

    3 2 2 0

    Documentation and library expenditure

     

     

     

    Non-differentiated appropriations

    3 363 232

    3 276 600

    2 920 296,58

    3 2 2 2

    Expenditure on archive fonds

     

     

     

    Non-differentiated appropriations

    1 520 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    1 149 000

    1 252 261,82

     

    Article 3 2 2 — Total

    4 883 232

    4 425 600

    4 172 558,40

    3 2 4

    Production and dissemination

    3 2 4 0

    Official Journal

     

     

     

    Non-differentiated appropriations

    6 950 000

    8 069 000

    4 151 025,50

    3 2 4 1

    Digital and traditional publications

     

     

     

    Non-differentiated appropriations

    1 823 000

    1 595 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    2 100 821,62

    3 2 4 2

    Expenditure on publication, information and participation in public events

     

     

     

    Non-differentiated appropriations

    12 853 000

    9 870 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    6 753 468,69

    3 2 4 3

    Visitors Centre

     

     

     

    Non-differentiated appropriations

    6 800 000

     

     

    3 2 4 4

    Organisation and reception of groups of visitors, Euroscola programme and invitations to opinion multipliers from third countries

     

     

     

    Non-differentiated appropriations

    26 618 000

    23 920 000

    15 631 595,31

    3 2 4 5

    Organisation of seminars, symposia and cultural activities

     

     

     

    Non-differentiated appropriations

    1 650 000

    1 895 000

    1 202 849,25

    3 2 4 6

    Parliamentary television channel (Web TV)

     

     

     

    Non-differentiated appropriations

    p.m.

     

     

    3 2 4 7

    Expenditure on information about the Debate on the Future of Europe

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    1 335 301,10

    3 2 4 8

    Expenditure on audiovisual information

     

     

     

    Non-differentiated appropriations

    10 033 900

    8 650 000

    5 165 374,46

    3 2 4 9

    Information exchanges with national parliaments

     

     

     

    Non-differentiated appropriations

    2 000 000

    540 000

    122 793,99

     

    Article 3 2 4 — Total

    68 727 900

    54 539 000

    36 463 229,92

    3 2 5

    Expenditure relating to Information Offices

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    CHAPTER 3 2 — TOTAL

    82 480 732

    65 908 800

    44 005 437,20

     

    Title 3 — Total

    111 572 267

    93 073 235

    66 646 489,59

    CHAPTER 3 0 —

    MEETINGS AND CONFERENCES

    CHAPTER 3 2 —

    EXPERTISE AND INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISSEMINATION

    CHAPTER 3 0 —   MEETINGS AND CONFERENCES

    3 0 0   Staff mission expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    22 867 935  (181)

    20 867 935

    18 671 700,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 71 thereof and Articles 11 to 13 of Annex VII thereto.

    This appropriation is intended to cover expenditure on transport costs, the payment of daily mission allowances and the ancillary or exceptional expenses incurred in the performance of a mission, including ancillary costs relating to tickets and reservations.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 50 000.

    3 0 2   Entertainment and representation expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    787 000

    833 000

    599 337,59

    Remarks

    This appropriation is intended to cover:

    expenses related to the obligations of the institution regarding entertainment, including in connection with work carried out by the institution's unit for Scientific and Technological Options Assessment (STOA), and representation expenses for Members of the institution,

    representation expenses of the President when he or she is travelling outside the working places,

    representation expenses and the contribution to the secretarial expenses of the President’s office,

    the Secretariat’s reception and representation expenses, including the purchase of items and medals for officials who have completed 15 or 25 years’ service,

    miscellaneous protocol expenditure, such as on flags, display stands, invitation cards, printed menus, etc.

    3 0 4   Miscellaneous expenditure on meetings

    3 0 4 0   Miscellaneous expenditure on internal meetings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 772 000

    1 640 000

    1 706 576,87

    Remarks

    This appropriation is intended to cover the costs of the beverages, refreshments and occasional light meals served at meetings held by the institution.

    3 0 4 2   Meetings, congresses and conferences

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 416 600

    1 418 500

    817 637,70

    Remarks

    This appropriation is intended to cover in particular:

    expenditure connected with the organisation of meetings outside the places of work (committees and committee delegations, political groups),

    affiliation fees in respect of international organisations to which the European Parliament or one of its bodies belongs (Interparliamentary Union, Association of Secretaries-General of Parliaments, Twelve Plus Group within the Interparliamentary Union).

    3 0 4 4   Miscellaneous expenditure on the organisation of the Parliamentary Conference on the WTO and other interparliamentary, ad hoc and WTO delegation meetings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    516 000

    630 000

    422 900,11

    Remarks

    This appropriation is intended to cover in particular expenditure connected with the organisation of meetings of interparliamentary and ad hoc delegations, joint parliamentary committees, parliamentary cooperation committees and delegations to the WTO.

    It also covers the expenditure connected in particular with the organisation of meetings of the Parliamentary Conference on the WTO and its Steering Committee.

    3 0 4 6   Miscellaneous expenditure on the organisation of ACP-EU Joint Parliamentary Assembly meetings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    470 000

    430 000

    343 107,77

    Remarks

    This appropriation is intended to cover in particular expenditure connected with the organisation of meetings of delegations to the ACP-EU Joint Parliamentary Assembly.

    3 0 4 8   Miscellaneous expenditure on the organisation of Euromed Parliamentary Assembly meetings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    102 000

    100 000

    79 792,35

    Remarks

    This appropriation is intended to cover expenditure connected with the organisation of meetings of the Euromed Parliamentary Assembly, its committees and its bureau.

    3 0 4 9   Expenditure on travel agency services

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 160 000

    1 245 000

    0,—

    Remarks

    This appropriation is intended to cover the running costs of the travel agency under contract to Parliament.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 200 000.

    CHAPTER 3 2 —   EXPERTISE AND INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISSEMINATION

    3 2 0   Acquisition of expertise

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    8 869 600  (182)

    6 944 200

    3 369 648,88

    Remarks

    This appropriation is intended to cover:

    the cost of contracts with qualified experts and research institutes for studies and other research activities (workshops, round tables, expert panels and conferences) carried out for Parliament’s governing bodies and the Administration,

    study appraisal costs and STOA's participation in scientific bodies,

    the travel, subsistence and incidental expenses of experts and other persons, including petitioners to Parliament, invited to take part in committee, study group or working party meetings,

    expenditure on calling in outside persons to take part in the work of bodies such as the Disciplinary Board or the Specialised Financial Irregularities Panel.

    3 2 2   Acquisition of information and archiving

    3 2 2 0   Documentation and library expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 363 232

    3 276 600

    2 920 296,58

    Remarks

    This appropriation is intended to cover:

    the extension and renewal of the general reference works section and keeping the library stock up to date,

    subscriptions to newspapers and periodicals and news agencies and to the publications thereof and online services, including copyright fees for the reproduction and dissemination of the above in written and/or electronic form and service contracts for press reviews and cuttings,

    subscriptions or service contracts for the supply of summaries and analyses of the content of periodicals or the storage on optical media of articles taken from such periodicals,

    utilising external documentary and statistical databases (computer hardware and telecommunications charges excepted),

    the obligations assumed by the European Parliament under international and/or interinstitutional cooperation arrangements,

    the purchase or rental of special library, documentation and media library materials, including electrical, electronic and computer facilities and/or systems, as well as outside services for the acquisition, development, installation, use and maintenance of these facilities and systems,

    the cost of services relating to library activities, in particular in dealings with library customers (enquiries, analyses), and quality management systems, etc.,

    binding and preservation equipment and work for the library, documentation and media library,

    the cost of internal publications (brochures, studies, etc.), including equipment, and communication costs (newsletters, videos, CD-ROMs, etc.),

    the purchase of new dictionaries and glossaries, or the replacement thereof, regardless of medium, including for the new language sections, and other works for the language services and the Verification of Texts Unit.

    3 2 2 2   Expenditure on archive fonds

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 520 000  (183)

    1 149 000

    1 252 261,82

    Remarks

    Regulation (EC) No 1049/2001 of the European Parliament and of the Council of 30 May 2001 regarding public access to European Parliament, Council and Commission documents (OJ L 145, 31.5.2001, p. 43), and the implementing measures adopted within the European Parliament.

    Bureau decision of 16 December 2002 on enhancing information and transparency: the archives of the European Parliament.

    Rules on processing the papers of Members of the European Parliament, adopted by the Bureau decision of 2 June 2003.

    This appropriation is intended to cover the cost of outside archiving services, the transfer of main archives onto various media (microfilm, disc, cassette, etc.), the purchase, hire and upkeep of special facilities and materials (electronic, computerised and electrical, books and magazines), including the related outside services, and expenditure on publications on all media (brochures, CD-ROM, etc.).

    It is also intended to cover the cost of processing the papers of Members of the European Parliament accumulated in the exercise of their office and handed over, in the form of legal donations or legacies, to the European Parliament, to the Historical Archives of the European Communities (HAEC) or to an association or foundation under rules established by the European Parliament.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 20 000.

    3 2 4   Production and dissemination

    3 2 4 0   Official Journal

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    6 950 000

    8 069 000

    4 151 025,50

    Remarks

    This appropriation is intended to cover the costs of preparing, printing by traditional (on paper) or electronic methods, and disseminating the texts which Parliament is required to publish in the Official Journal of the European Union, L or C series (budgets, written questions, minutes, notices), pursuant to its Rules of Procedure (in particular Rules 17, 36 and 45 thereof) and pursuant to the Rules of Procedure of the ACP-EU Joint Assembly.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 360 000.

    3 2 4 1   Digital and traditional publications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 823 000

    1 595 000  (184)

    2 100 821,62

    Remarks

    This appropriation is intended to cover:

    all costs for digital publishing (Europarl and Europarl Inside), other than in the Official Journal of the European Union, and traditional publishing (miscellaneous documents and printed matter subcontracted out),

    upgrading and evolutive and corrective maintenance of editorial systems, including the Europarl and Europarl Inside websites,

    updating the Legislative Observatory (OEIL).

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 40 000.

    3 2 4 2   Expenditure on publication, information and participation in public events

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    12 853 000

    9 870 000  (185)

    6 753 468,69

    Remarks

    This appropriation is intended to cover expenditure on information publications, including electronic publications, information activities, and participation in public events, trade fairs and exhibitions in the Member States and the accession countries.

    3 2 4 3   Visitors Centre

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    6 800 000

     

     

    Remarks

    This appropriation is intended to finance the Visitors Centre.

    3 2 4 4   Organisation and reception of groups of visitors, Euroscola programme and invitations to opinion multipliers from third countries

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    26 618 000

    23 920 000

    15 631 595,31

    Remarks

    This appropriation is intended to cover subsidies granted for group visits and associated supervision and infrastructure costs, the running costs of the Euroscola programme, and the financing of traineeships for opinion multipliers from third countries. It shall be increased every year using a deflator that takes into account movements in GNI and prices.

    The maximum subsidisable number of visitors should be substantially increased.

    An appropriate amount is included for disabled visitors.

    The subsidy granted shall be increased in order to be duly commensurate with the distance travelled and transport conditions. The services provided for visitors should also be improved.

    An evaluation as to whether the new rules take into account specific requirements and restrictions relating to the origin of visitors, proposals for an area to be set aside in the new Visitors Centre for political groups and a report concerning access by visitors groups to the new Visitors Centre and the visit to plenary, availability of meeting rooms and staffing needs for its operation have to be provided.

    3 2 4 5   Organisation of seminars, symposia and cultural activities

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 650 000

    1 895 000

    1 202 849,25

    Remarks

    This appropriation is intended to cover expenditure or subsidies connected with the organisation of national and multinational symposia and seminars for opinion multipliers from the Member States and the accession countries, the cost of organising parliamentary symposia and seminars, and the financing of cultural projects of European interest, in particular the Sakharov Prize. A maximum of EUR 300 000 of this appropriation is intended to cover expenditure on special events in the Chamber in Strasbourg and Brussels in accordance with the annual programme adopted by the Bureau.

    3 2 4 6   Parliamentary television channel (Web TV)

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

     

     

    Remarks

    This appropriation is intended to finance the parliamentary television channel (Web TV).

    An evaluation of the prototype will be made. It will have to take into consideration the content and the cost of the project including the structures and level of participation of political groups and the definition of the contents of the programmes.

    3 2 4 7   Expenditure on information about the Debate on the Future of Europe

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    1 335 301,10

    Remarks

    This appropriation is intended to cover expenditure on information measures carried out in the context of the debate on the future of Europe.

    3 2 4 8   Expenditure on audiovisual information

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    10 033 900

    8 650 000

    5 165 374,46

    Remarks

    European Parliament resolution of 12 March 2002 on the guidelines for the 2003 budgetary procedure (OJ C 47 E, 27.2.2003, p. 72).

    European Parliament resolution of 14 May 2002 on the estimates of revenue and expenditure of Parliament for the financial year 2003 (OJ C 180 E, 31.7.2003, p. 150).

    European Parliament resolution of 14 May 2003 on the estimates of revenue and expenditure of Parliament for the financial year 2004 (OJ C 67 E, 17.3.2004, p. 179).

    This appropriation is intended to cover:

    the operating budget of the audiovisual sector (including services under its own control and outside assistance such as technical services for radio and television stations, provision, production and co-production of audiovisual programmes, the hiring of lines, the transmission of television and radio programmes, and other measures to develop relations between the institution and audiovisual broadcasting bodies),

    expenditure on live Internet broadcasting of plenary sittings and parliamentary committee meetings,

    the recording of part-session proceedings on DVD-ROMs,

    the establishment of appropriate archives and a search engine ensuring uninterrupted public access to that information,

    the introduction and operation of Parliament’s Internet television channel, production and co-production of programmes for the channel, and marketing to promote the channel among the European public.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 13 000.

    3 2 4 9   Information exchanges with national parliaments

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 000 000

    540 000

    122 793,99

    Remarks

    Conferences of Speakers of European Parliamentary Assemblies (June 1977) and of European Union Parliaments (September 2000, March 2001).

    This appropriation is intended to cover:

    expenditure committed for promoting relations between the European Parliament and national parliaments. It relates to parliamentary relations other than those covered by Chapters 1 0 and 3 0, exchanges of information and documentation, and assistance in the analysis and management of that information, including exchanges with the European Centre for Parliamentary Research and Documentation (ECPRD),

    strengthening of cooperation between the European Parliament and the democratically elected parliaments of southeastern and eastern Europe, the former USSR and the Mediterranean Basin. The parliaments of future Member States of the Union will enjoy favoured-status collaboration,

    funding of cooperation programmes and training schemes for officials of the aforementioned parliaments.

    Training schemes include study visits to the European Parliament in Brussels, Luxembourg and Strasbourg; the appropriation is intended to cover all or part of the expenditure incurred by participants, in particular travelling costs, travel expenses, accommodation and daily allowances,

    cooperation measures, including those linked to legislative work, and measures linked to documentation, analysis and information, including those carried out by the ECPRD.

    3 2 5   Expenditure relating to Information Offices

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    This appropriation is intended to cover all expenditure (staff, buildings, conferences, meetings, publications, etc.) linked to the Information Offices of the European Parliament.

    TITLE 4

    EXPENDITURE RESULTING FROM SPECIAL FUNCTIONS CARRIED OUT BY THE INSTITUTION

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 4 0

    4 0 0

    Current administrative expenditure and expenditure relating to the political and information activities of the political groups and non-attached Members

     

     

     

    Non-differentiated appropriations

    50 640 000

    49 622 000

    46 452 774,75

    4 0 2

    Contributions to European political parties

     

     

     

    Non-differentiated appropriations

    10 436 000

    8 594 000

    8 308 887,—

     

    CHAPTER 4 0 — TOTAL

    61 076 000

    58 216 000

    54 761 661,75

     

    CHAPTER 4 2

    4 2 0

    Parliamentary assistants

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    4 2 2

    Parliamentary assistance

    4 2 2 0

    Parliamentary assistance

     

     

     

    Non-differentiated appropriations

    144 095 563

    135 289 000

    127 630 230,21

    4 2 2 2

    Exchange losses

     

     

     

    Non-differentiated appropriations

    500 000

    1 000 000

    354 797,15

     

    Article 4 2 2 — Total

    144 595 563

    136 289 000

    127 985 027,36

     

    CHAPTER 4 2 — TOTAL

    144 595 563

    136 289 000

    127 985 027,36

     

    CHAPTER 4 4

    4 4 0

    Cost of meetings and other activities of former Members

     

     

     

    Non-differentiated appropriations

    100 000

    100 000

    100 000,—

    4 4 2

    Cost of meetings and other activities of the European Parliamentary Association

     

     

     

    Non-differentiated appropriations

    122 000

    80 000

    80 000,—

     

    CHAPTER 4 4 — TOTAL

    222 000

    180 000

    180 000,—

     

    Title 4 — Total

    205 893 563

    194 685 000

    182 926 689,11

    CHAPTER 4 0 —

    EXPENDITURE RELATING TO CERTAIN INSTITUTIONS AND BODIES

    CHAPTER 4 2 —

    EXPENDITURE RELATING TO PARLIAMENTARY ASSISTANCE

    CHAPTER 4 4 —

    MEETINGS AND OTHER ACTIVITIES OF CURRENT AND FORMER MEMBERS

    CHAPTER 4 0 —   EXPENDITURE RELATING TO CERTAIN INSTITUTIONS AND BODIES

    4 0 0   Current administrative expenditure and expenditure relating to the political and information activities of the political groups and non-attached Members

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    50 640 000

    49 622 000

    46 452 774,75

    Remarks

    Rules adopted by the Bureau decision of 1 February 2001.

    This appropriation is intended to cover, in respect of the political groups and the non-attached Members:

    secretarial, administrative and operational expenditure,

    expenditure on political and information activities conducted in connection with the European Union's political activities.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 50 000.

    4 0 2   Contributions to European political parties

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    10 436 000

    8 594 000

    8 308 887,—

    Remarks

    Treaty establishing the European Community, and in particular Article 191 thereof.

    Regulation (EC) No 2004/2003 of the European Parliament and of the Council of 4 November 2003 on the regulations governing political parties at European level and the rules regarding their funding (OJ L 297, 15.11.2003, p. 1).

    Based on the need for transparency and the necessary reinforcement of the democratic accountability of the European Union, this item is intended to finance, at European level, political parties which contribute to forming a European awareness and to expressing the political will of the citizens of the Union.

    CHAPTER 4 2 —   EXPENDITURE RELATING TO PARLIAMENTARY ASSISTANCE

    4 2 0   Parliamentary assistants

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Proposal for a Council Regulation, submitted by the Commission on 18 May 1998, amending Regulation (EEC, Euratom, ECSC) No 259/68 laying down the Staff Regulations of officials of the European Communities and the Conditions of employment of other servants of the Communities (OJ C 179, 11.6.1998, p. 16).

    General implementing provisions (Bureau decision of …).

    Appropriations may be entered against this article solely by means of transfer from Item 4 2 2 0 (Parliamentary assistance).

    4 2 2   Parliamentary assistance

    4 2 2 0   Parliamentary assistance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    144 095 563

    135 289 000

    127 630 230,21

    Remarks

    Rules governing the payment of expenses and allowances to Members of the European Parliament, and in particular Articles 14 to 16 thereof.

    This appropriation is intended to cover expenses relating to the recruitment and employment of one or more assistants.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 200 000.

    4 2 2 2   Exchange losses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    500 000

    1 000 000

    354 797,15

    Remarks

    This appropriation is intended to cover exchange differences to be met from the budget of the European Parliament in accordance with the provisions applicable to reimbursement of parliamentary assistance expenses.

    CHAPTER 4 4 —   MEETINGS AND OTHER ACTIVITIES OF CURRENT AND FORMER MEMBERS

    4 4 0   Cost of meetings and other activities of former Members

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    100 000

    100 000

    100 000,—

    Remarks

    This appropriation covers the cost of meetings of the association of former Members of the European Parliament plus any other associated costs, if appropriate.

    4 4 2   Cost of meetings and other activities of the European Parliamentary Association

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    122 000

    80 000

    80 000,—

    Remarks

    This appropriation is intended to cover the cost of meetings of the European Parliamentary Association plus, if appropriate, any other associated costs.

    TITLE 10

    OTHER EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 10 0

    12 821 713

    33 681 580

    18 436 618,—

     

    CHAPTER 10 0 — TOTAL

    12 821 713

    33 681 580

    18 436 618,—

     

    CHAPTER 10 1

    9 190 479

    13 175 813

    0,—

     

    CHAPTER 10 1 — TOTAL

    9 190 479

    13 175 813

    0,—

     

    CHAPTER 10 3

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 3 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 4

    22 400 000

    20 000 000

     

     

    CHAPTER 10 4 — TOTAL

    22 400 000

    20 000 000

     

     

    CHAPTER 10 5

    50 000 000

     

     

     

    CHAPTER 10 5 — TOTAL

    50 000 000

     

     

     

    Title 10 — Total

    94 412 192

    66 857 393

    18 436 618,—

     

    GRAND TOTAL

    1 397 460 174

    1 321 600 000

    1 267 533 086,15

    CHAPTER 10 0 —

    PROVISIONAL APPROPRIATIONS

    CHAPTER 10 1 —

    CONTINGENCY RESERVE

    CHAPTER 10 3 —

    ENLARGEMENT RESERVE

    CHAPTER 10 4 —

    RESERVE FOR INFORMATION AND COMMUNICATION POLICY

    CHAPTER 10 5 —

    PROVISIONAL APPROPRIATION FOR BUILDINGS

    CHAPTER 10 0 —   PROVISIONAL APPROPRIATIONS

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    12 821 713

    33 681 580

    18 436 618,—

    Remarks

    Item

    1 2 0 0

    Remuneration and allowances

    317 157

    Item

    1 4 0 2

    Conference interpreters

    2 000 000

    Article

    1 4 2

    Outside services

    1 000 000

    Item

    1 6 1 0

    Expenditure on recruitment

    58 000

    Item

    2 0 0 7

    Fitting-out of premises

    1 869 200

    Item

    2 0 2 6

    Security and surveillance of buildings

    3 695 291

    Item

    2 1 0 2

    Outside assistance in connection with the operation, development and maintenance of software systems

    2 000 000

    Article

    3 0 0

    Staff mission expenses

    1 132 065

    Article

    3 2 0

    Acquisition of expertise

    500 000

    Item

    3 2 2 2

    Expenditure on archive fonds

    250 000

     

     

    Total

    12 821 713

    CHAPTER 10 1 —   CONTINGENCY RESERVE

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    9 190 479

    13 175 813

    0,—

    Remarks

    This appropriation is intended to cover expenditure resulting from budgetary decisions taken in the course of the financial year (expenditure that cannot be estimated).

    CHAPTER 10 3 —   ENLARGEMENT RESERVE

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    This appropriation is intended to cover the cost of the institution's preparations for enlargement.

    CHAPTER 10 4 —   RESERVE FOR INFORMATION AND COMMUNICATION POLICY

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    22 400 000

    20 000 000

     

    Remarks

    This appropriation is intended to cover expenditure on information and communication policy.

    CHAPTER 10 5 —   PROVISIONAL APPROPRIATION FOR BUILDINGS

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    50 000 000

     

     

    Remarks

    This appropriation is intended to cover property investments made by the institution.

    Before release of the appropriation, the Administration is requested to submit an updated report by 30 April 2007 on its building policy, addressing the following:

    (1)

    information on planned and potential purchase of property for 2007 and subsequent years; this information should incorporate the financial requirements resulting from these purchases, including maintenance, security and other related costs;

    (2)

    the office space currently occupied and future needs at Parliament’s three places of work and the Europe Houses, taking into account, in particular, area/volume of office space per employee;

    (3)

    detailed information on the agreement between the Commission and the European Parliament on the various shared properties, including Europe Houses; this information must include the cost of maintenance, rent, fitting-out of premises, security and all other relevant expenditure;

    (4)

    re-examination of the 50 %/50 % principle for the purchase cost of Europe Houses.

    SECTION II

    COUNCIL

    REVENUE

    Contribution of the European Communities to the financing of the expenditure of the Council for the financial year 2007

    Heading

    Amount

    Expenditure

    593 528 212

    Own resources

    –52 044 000

    Contribution due

    541 484 212

    OWN RESOURCES

    TITLE 4

    MISCELLANEOUS COMMUNITY TAXES, LEVIES AND DUES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 4 0

    4 0 0

    Proceeds from taxation on the salaries, wages and allowances of officials and other servants

    25 416 000

    25 107 000

    20 901 782,15

    4 0 3

    Proceeds from the temporary contribution from the salaries of members of the institutions, officials and other servants in active employment

    p.m.

    p.m.

    0,—

    4 0 4

    Proceeds from the special levy on the salaries of members of the institutions, officials and other servants in active employment

    1 408 000

    1 043 000

    1 766 578,51

     

    CHAPTER 4 0 — TOTAL

    26 824 000

    26 150 000

    22 668 360,66

     

    CHAPTER 4 1

    4 1 0

    Staff contributions to the pension scheme

    25 220 000

    22 904 000

    18 705 222,68

    4 1 1

    Transfer or purchase of pension rights by staff

    p.m.

    p.m.

    13 951 705,08

    4 1 2

    Contributions to the pension scheme by officials on leave on personal grounds

    p.m.

    p.m.

    19 321,18

     

    CHAPTER 4 1 — TOTAL

    25 220 000

    22 904 000

    32 676 248,94

     

    Title 4 — Total

    52 044 000

    49 054 000

    55 344 609,60

    CHAPTER 4 0 —

    DEDUCTIONS FROM STAFF REMUNERATION

    CHAPTER 4 1 —

    CONTRIBUTIONS TO THE PENSION SCHEMES

    CHAPTER 4 0 —   DEDUCTIONS FROM STAFF REMUNERATION

    4 0 0   Proceeds from taxation on the salaries, wages and allowances of officials and other servants

    Financial year 2007

    Financial year 2006

    Financial year 2005

    25 416 000

    25 107 000

    20 901 782,15

    Remarks

    Protocol on the Privileges and Immunities of the European Communities, and in particular Article 13 thereof.

    Council Regulation (EEC, Euratom, ECSC) No 260/68 of 29 February 1968 laying down the conditions and procedure for applying the tax for the benefit of the European Communities (OJ L 56, 4.3.1968, p. 8), as last amended by Regulation (EC, Euratom) No 1750/2002 (OJ L 264, 2.10.2002, p. 15).

    4 0 3   Proceeds from the temporary contribution from the salaries of members of the institutions, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 66a thereof.

    4 0 4   Proceeds from the special levy on the salaries of members of the institutions, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    1 408 000

    1 043 000

    1 766 578,51

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 66a thereof.

    CHAPTER 4 1 —   CONTRIBUTIONS TO THE PENSION SCHEMES

    4 1 0   Staff contributions to the pension scheme

    Financial year 2007

    Financial year 2006

    Financial year 2005

    25 220 000

    22 904 000

    18 705 222,68

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 83(2) thereof.

    4 1 1   Transfer or purchase of pension rights by staff

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    13 951 705,08

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 107 thereof and Article 4 and Article 11(2) of Annex VIII thereto.

    4 1 2   Contributions to the pension scheme by officials on leave on personal grounds

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    19 321,18

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 107 thereof and Article 11(2) and Article 48 of Annex VIII thereto.

    TITLE 5

    REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTION

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 5 0

    5 0 0

    Proceeds from the sale of movable property

    5 0 0 0

    Proceeds from the sale of vehicles — Assigned revenue

    p.m.

    p.m.

    0,—

    5 0 0 1

    Proceeds from the sale of other movable property — Assigned revenue

    p.m.

    p.m.

    0,—

    5 0 0 2

    Proceeds from the supply of goods to other institutions or bodies — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 5 0 0 — Total

    p.m.

    p.m.

    0,—

    5 0 2

    Proceeds from the sale of publications, printed works and films

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 0 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 1

    5 1 0

    Proceeds from hiring out furniture and equipment

    p.m.

    p.m.

    0,—

    5 1 1

    Proceeds from letting and subletting immovable property and reimbursement of charges connected with lettings

    p.m.

    p.m.

    955 466,99

     

    CHAPTER 5 1 — TOTAL

    p.m.

    p.m.

    955 466,99

     

    CHAPTER 5 2

    5 2 0

    Revenue from investments, bank and other interest on the institution's accounts

    p.m.

    300 000

    422 542,43

     

    CHAPTER 5 2 — TOTAL

    p.m.

    300 000

    422 542,43

     

    CHAPTER 5 5

    5 5 0

    Revenue from the supply of services and work for other institutions or bodies, including refunds by other institutions or bodies of mission allowances paid on their behalf — Assigned revenue

    p.m.

    p.m.

    168 643,21

    5 5 1

    Revenue from third parties in respect of services or work supplied at their request — Assigned revenue

    p.m.

    p.m.

    9 541,92

     

    CHAPTER 5 5 — TOTAL

    p.m.

    p.m.

    178 185,13

     

    CHAPTER 5 7

    5 7 0

    Revenue arising from the repayment of amounts wrongly paid — Assigned revenue

    p.m.

    p.m.

    0,—

    5 7 1

    Revenue earmarked for a specific purpose, such as income from foundations, subsidies, gifts and bequests, including the earmarked revenue specific to each institution — Assigned revenue

    p.m.

    p.m.

    589,18

    5 7 2

    Repayment of welfare expenditure incurred on behalf of another institution — Assigned revenue

    p.m.

    p.m.

    0,—

    5 7 3

    Other contributions and refunds in connection with the administrative operation of the institution — Assigned revenue

    p.m.

    p.m.

    8 321 127,82

     

    CHAPTER 5 7 — TOTAL

    p.m.

    p.m.

    8 321 717,—

     

    CHAPTER 5 8

    5 8 0

    Miscellaneous compensation

    p.m.

    p.m.

    1 509 408,71

     

    CHAPTER 5 8 — TOTAL

    p.m.

    p.m.

    1 509 408,71

     

    CHAPTER 5 9

    5 9 0

    Other revenue arising from administrative management

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 9 — TOTAL

    p.m.

    p.m.

    0,—

     

    Title 5 — Total

    p.m.

    300 000

    11 387 320,26

    CHAPTER 5 0 —

    PROCEEDS FROM THE SALE OF MOVABLE AND IMMOVABLE PROPERTY

    CHAPTER 5 1 —

    PROCEEDS FROM LETTING AND HIRING

    CHAPTER 5 2 —

    REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST

    CHAPTER 5 5 —

    REVENUE FROM THE PROCEEDS OF SERVICES SUPPLIED AND WORK CARRIED OUT

    CHAPTER 5 7 —

    OTHER CONTRIBUTIONS AND REFUNDS CONNECTED WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS

    CHAPTER 5 8 —

    MISCELLANEOUS COMPENSATION

    CHAPTER 5 9 —

    OTHER REVENUE ARISING FROM ADMINISTRATIVE MANAGEMENT

    CHAPTER 5 0 —   PROCEEDS FROM THE SALE OF MOVABLE AND IMMOVABLE PROPERTY

    5 0 0   Proceeds from the sale of movable property

    5 0 0 0   Proceeds from the sale of vehicles — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 0 1   Proceeds from the sale of other movable property — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 0 2   Proceeds from the supply of goods to other institutions or bodies — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 2   Proceeds from the sale of publications, printed works and films

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 1 —   PROCEEDS FROM LETTING AND HIRING

    5 1 0   Proceeds from hiring out furniture and equipment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    5 1 1   Proceeds from letting and subletting immovable property and reimbursement of charges connected with lettings

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    955 466,99

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 2 —   REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST

    5 2 0   Revenue from investments, bank and other interest on the institution's accounts

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    300 000

    422 542,43

    CHAPTER 5 5 —   REVENUE FROM THE PROCEEDS OF SERVICES SUPPLIED AND WORK CARRIED OUT

    5 5 0   Revenue from the supply of services and work for other institutions or bodies, including refunds by other institutions or bodies of mission allowances paid on their behalf — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    168 643,21

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 4 thereof and Article 11(2) and (3) and Article 48 of Annex VIII thereto.

    5 5 1   Revenue from third parties in respect of services or work supplied at their request — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    9 541,92

    CHAPTER 5 7 —   OTHER CONTRIBUTIONS AND REFUNDS CONNECTED WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS

    5 7 0   Revenue arising from the repayment of amounts wrongly paid — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    5 7 1   Revenue earmarked for a specific purpose, such as income from foundations, subsidies, gifts and bequests, including the earmarked revenue specific to each institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    589,18

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    5 7 2   Repayment of welfare expenditure incurred on behalf of another institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    5 7 3   Other contributions and refunds in connection with the administrative operation of the institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    8 321 127,82

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 8 —   MISCELLANEOUS COMPENSATION

    5 8 0   Miscellaneous compensation

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    1 509 408,71

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 9 —   OTHER REVENUE ARISING FROM ADMINISTRATIVE MANAGEMENT

    5 9 0   Other revenue arising from administrative management

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    TITLE 6

    CONTRIBUTIONS AND REPAYMENTS UNDER COMMUNITY AGREEMENTS AND PROGRAMMES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 6 1

    6 1 2

    Repayment of expenditure incurred specifically during the performance of work on request and for consideration — Assigned revenue

    p.m.

    p.m.

    0,—

     

    CHAPTER 6 1 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 6 3

    6 3 1

    Contributions within the framework of the Schengen acquis — Assigned revenue

    6 3 1 1

    Contribution to the administrative costs arising from the framework agreement with Iceland and Norway — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 6 3 1 — Total

    p.m.

    p.m.

    0,—

     

    CHAPTER 6 3 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 6 6

    6 6 0

    Other contributions and refunds

    6 6 0 0

    Other assigned contributions and refunds — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 6 6 0 — Total

    p.m.

    p.m.

    0,—

     

    CHAPTER 6 6 — TOTAL

    p.m.

    p.m.

    0,—

     

    Title 6 — Total

    p.m.

    p.m.

    0,—

    CHAPTER 6 1 —

    REPAYMENT OF MISCELLANEOUS EXPENDITURE

    CHAPTER 6 3 —

    CONTRIBUTIONS UNDER SPECIFIC AGREEMENTS

    CHAPTER 6 6 —

    OTHER CONTRIBUTIONS AND REFUNDS

    CHAPTER 6 1 —   REPAYMENT OF MISCELLANEOUS EXPENDITURE

    6 1 2   Repayment of expenditure incurred specifically during the performance of work on request and for consideration — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 6 3 —   CONTRIBUTIONS UNDER SPECIFIC AGREEMENTS

    6 3 1   Contributions within the framework of the Schengen acquis — Assigned revenue

    6 3 1 1   Contribution to the administrative costs arising from the framework agreement with Iceland and Norway — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    Council Decision 1999/437/EC of 17 May 1999 on certain arrangements for the application of the Agreement concluded by the Council of the European Union and the Republic of Iceland and the Kingdom of Norway concerning the association of those two States with the implementation, application and development of the Schengen acquis (OJ L 176, 10.7.1999, p. 31).

    Contribution to the administrative costs arising from the Agreement of 18 May 1999 concluded by the Council of the European Union and the Republic of Iceland and the Kingdom of Norway concerning the association of those two States with the implementation, application and development of the Schengen acquis (OJ L 176, 10.7.1999, p. 36), and in particular Article 12 thereof.

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 6 6 —   OTHER CONTRIBUTIONS AND REFUNDS

    6 6 0   Other contributions and refunds

    6 6 0 0   Other assigned contributions and refunds — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    TITLE 7

    INTEREST ON LATE PAYMENTS

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 7 0

    7 0 0

    Interest on late payments

    p.m.

    p.m.

    0,—

     

    CHAPTER 7 0 — TOTAL

    p.m.

    p.m.

    0,—

     

    Title 7 — Total

    p.m.

    p.m.

    0,—

    CHAPTER 7 0 —

    INTEREST ON LATE PAYMENTS

    CHAPTER 7 0 —   INTEREST ON LATE PAYMENTS

    7 0 0   Interest on late payments

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    TITLE 9

    MISCELLANEOUS REVENUE

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 9 0

    9 0 0

    Miscellaneous revenue

    p.m.

    p.m.

    5 665,35

     

    CHAPTER 9 0 — TOTAL

    p.m.

    p.m.

    5 665,35

     

    Title 9 — Total

    p.m.

    p.m.

    5 665,35

     

    GRAND TOTAL

    52 044 000

    49 354 000

    66 737 595,21

    CHAPTER 9 0 —

    MISCELLANEOUS REVENUE

    CHAPTER 9 0 —   MISCELLANEOUS REVENUE

    9 0 0   Miscellaneous revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    5 665,35

    EXPENDITURE

    General summary of appropriations (2007 and 2006) and outturn (2005)

    Title

    Chapter

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1

    PERSONS WORKING WITH THE INSTITUTION

    1 1

    OFFICIALS AND TEMPORARY STAFF

    313 384 000

    298 498 953

    258 423 636,98

    1 2

    OTHER STAFF AND OUTSIDE SERVICES

    5 864 000

    4 965 000

    5 486 424,05

    1 3

    OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    10 132 000

    9 863 000

    9 148 654,97

     

    Title 1 — Total

    329 380 000

    313 326 953

    273 058 716,—

    2

    BUILDINGS, EQUIPMENT AND OPERATING EXPENDITURE

    2 0

    BUILDINGS AND ASSOCIATED COSTS

    51 302 212

    60 118 000

    148 915 691,99

    2 1

    COMPUTER SYSTEMS, EQUIPMENT AND FURNITURE

    32 901 000

    32 162 000

    29 214 684,80

    2 2

    OPERATING EXPENDITURE

    136 703 000

    121 738 000

    80 514 239,09

     

    Title 2 — Total

    220 906 212

    214 018 000

    258 644 615,88

    3

    EXPENDITURE ARISING OUT OF THE INSTITUTION'S PERFORMANCE OF ITS SPECIFIC MISSIONS

    3 0

    STAFF

    11 144 000

    11 970 000

    7 751 589,42

    3 1

    BUILDINGS AND ASSOCIATED COSTS

    8 436 000

    8 365 000

    10 201 155,13

    3 2

    COMPUTER SYSTEMS, EQUIPMENT AND FURNITURE

    19 672 000

    38 045 000

    5 545 016,60

    3 3

    OPERATING EXPENDITURE

    1 140 000

    1 028 000

    660 660,42

     

    Title 3 — Total

    40 392 000

    59 408 000

    24 158 421,57

    10

    OTHER EXPENDITURE

    10 0

    PROVISIONAL APPROPRIATIONS

    350 000

    p.m.

    0,—

    10 1

    CONTINGENCY RESERVE

    2 500 000

    5 000 000

    0,—

     

    Title 10 — Total

    2 850 000

    5 000 000

    0,—

     

    GRAND TOTAL

    593 528 212

    591 752 953

    555 861 753,45

    TITLE 1

    PERSONS WORKING WITH THE INSTITUTION

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 1 1

    1 1 0

    Remuneration and other entitlements

    1 1 0 0

    Basic salaries

     

     

     

    Non-differentiated appropriations

    223 772 000

    211 808 953

    185 590 050,—

    1 1 0 1

    Entitlements under the Staff Regulations related to the post held

     

     

     

    Non-differentiated appropriations

    4 288 000

    4 320 000

    4 264 489,47

    1 1 0 2

    Entitlements under the Staff Regulations related to the personal circumstances of the staff member

     

     

     

    Non-differentiated appropriations

    55 921 000

    52 219 000

    45 991 650,—

    1 1 0 3

    Social security cover

     

     

     

    Non-differentiated appropriations

    9 804 000

    9 141 000

    8 177 329,—

    1 1 0 4

    Salary weightings

     

     

     

    Non-differentiated appropriations

    825 000

    1 207 000

    1 384 084,—

    1 1 0 5

    Overtime

     

     

     

    Non-differentiated appropriations

    2 716 000

    2 399 000

    2 315 831,89

    1 1 0 6

    Entitlements under the Staff Regulations related to entering the service, transfer and leaving the service

     

     

     

    Non-differentiated appropriations

    6 652 000

    7 584 000

    5 008 049,—

     

    Article 1 1 0 — Total

    303 978 000

    288 678 953

    252 731 483,36

    1 1 1

    Termination of service

    1 1 1 0

    Allowances in the event of retirement in the interests of the service (pursuant to Articles 41 and 50 of the Staff Regulations)

     

     

     

    Non-differentiated appropriations

    874 000

    762 000

    355 567,—

    1 1 1 1

    Allowances for staff whose service is terminated

     

     

     

    Non-differentiated appropriations

    5 135 000

    5 252 000

    5 124 154,62

    1 1 1 2

    Entitlements of the former Secretaries-General

     

     

     

    Non-differentiated appropriations

    223 000

    221 000

    212 432,—

     

    Article 1 1 1 — Total

    6 232 000

    6 235 000

    5 692 153,62

    1 1 2

    Provisional appropriation

    1 1 2 0

    Provisional appropriation (officials and temporary staff)

     

     

     

    Non-differentiated appropriations

    3 108 000

    3 513 000

    0,—

    1 1 2 1

    Provisional appropriation (retired staff and staff retired under special arrangements)

     

     

     

    Non-differentiated appropriations

    66 000

    72 000

    0,—

     

    Article 1 1 2 — Total

    3 174 000

    3 585 000

    0,—

     

    CHAPTER 1 1 — TOTAL

    313 384 000

    298 498 953

    258 423 636,98

     

    CHAPTER 1 2

    1 2 0

    Other staff and outside services

    1 2 0 0

    Other staff

     

     

     

    Non-differentiated appropriations

    2 356 000

    2 335 000

    3 003 219,—

    1 2 0 1

    National experts on secondment

     

     

     

    Non-differentiated appropriations

    1 903 000

    1 248 000

    1 134 177,27

    1 2 0 2

    Traineeships

     

     

     

    Non-differentiated appropriations

    432 000

    345 000

    301 234,22

    1 2 0 3

    Outside services

     

     

     

    Non-differentiated appropriations

    845 000

    707 000

    648 925,95

    1 2 0 4

    Supplementary services for the translation service

     

     

     

    Non-differentiated appropriations

    300 000

    300 000

    368 867,61

     

    Article 1 2 0 — Total

    5 836 000

    4 935 000

    5 456 424,05

    1 2 2

    Provisional appropriation

     

     

     

    Non-differentiated appropriations

    28 000

    30 000

    30 000,—

     

    CHAPTER 1 2 — TOTAL

    5 864 000

    4 965 000

    5 486 424,05

     

    CHAPTER 1 3

    1 3 0

    Expenditure relating to staff management

    1 3 0 0

    Miscellaneous expenditure on recruitment

     

     

     

    Non-differentiated appropriations

    300 000

    424 000

    170 000,—

    1 3 0 1

    Further training

     

     

     

    Non-differentiated appropriations

    1 388 000

    1 317 000

    1 381 951,50

     

    Article 1 3 0 — Total

    1 688 000

    1 741 000

    1 551 951,50

    1 3 1

    Measures to assist the institution's staff

    1 3 1 0

    Special assistance grants

     

     

     

    Non-differentiated appropriations

    18 000

    18 000

    6 214,88

    1 3 1 1

    Social contacts between members of staff

     

     

     

    Non-differentiated appropriations

    120 000

    120 000

    120 000,—

    1 3 1 2

    Supplementary aid for the disabled

     

     

     

    Non-differentiated appropriations

    110 000

    98 000

    70 284,59

    1 3 1 3

    Other welfare expenditure

     

     

     

    Non-differentiated appropriations

    46 000

    46 000

    46 000,—

     

    Article 1 3 1 — Total

    294 000

    282 000

    242 499,47

    1 3 2

    Activities relating to all persons working with the institution

    1 3 2 0

    Medical service

     

     

     

    Non-differentiated appropriations

    422 000

    395 000

    360 000,—

    1 3 2 1

    Restaurants and canteens

     

     

     

    Non-differentiated appropriations

    1 000 000

    1 000 000

    830 000,—

    1 3 2 2

    Crèches and childcare facilities

     

     

     

    Non-differentiated appropriations

    1 898 000

    1 845 000

    1 634 204,—

     

    Article 1 3 2 — Total

    3 320 000

    3 240 000

    2 824 204,—

    1 3 3

    Missions

     

     

     

    Non-differentiated appropriations

    4 830 000

    4 600 000

    4 530 000,—

     

    CHAPTER 1 3 — TOTAL

    10 132 000

    9 863 000

    9 148 654,97

     

    Title 1 — Total

    329 380 000

    313 326 953

    273 058 716,—

    CHAPTER 1 1 —

    OFFICIALS AND TEMPORARY STAFF

    CHAPTER 1 2 —

    OTHER STAFF AND OUTSIDE SERVICES

    CHAPTER 1 3 —

    OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    CHAPTER 1 1 —   OFFICIALS AND TEMPORARY STAFF

    Remarks

    The appropriations entered in this chapter are assessed on the basis of the Council's establishment plan for the financial year.

    A flat-rate reduction of 7,0 % has been applied to salaries, allowances and payments to take account of the fact that not all posts in the Council's establishment plan are occupied at any given time (excluding enlargement).

    1 1 0   Remuneration and other entitlements

    1 1 0 0   Basic salaries

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    223 772 000

    211 808 953

    185 590 050,—

    Remarks

    This appropriation is intended to cover basic salaries for officials and temporary staff holding a post provided for in the establishment plan.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    1 1 0 1   Entitlements under the Staff Regulations related to the post held

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    4 288 000

    4 320 000

    4 264 489,47

    Remarks

    This appropriation is intended to cover primarily, for officials and temporary staff holding a post provided for in the establishment plan:

    secretarial allowances,

    accommodation and transport allowances,

    fixed local travel allowances,

    allowances for shiftwork or standby duty at the official's place of work or at home,

    other allowances and repayments,

    overtime (chauffeurs).

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    1 1 0 2   Entitlements under the Staff Regulations related to the personal circumstances of the staff member

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    55 921 000

    52 219 000

    45 991 650,—

    Remarks

    This appropriation is intended to cover primarily, for officials and temporary staff holding a post provided for in the establishment plan:

    expatriation and foreign residence allowances,

    household, dependent child and education allowances,

    allowance for parental or family leave,

    payment of travel expenses for officials or temporary staff, their spouses and dependants from their place of employment to their place of origin,

    miscellaneous allowances and grants.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    1 1 0 3   Social security cover

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    9 804 000

    9 141 000

    8 177 329,—

    Remarks

    This appropriation is mainly intended to cover, for officials and temporary staff holding a post provided for in the establishment plan:

    insurance against sickness, accidents and occupational disease and other social security charges,

    unemployment insurance for temporary staff and payments made by the institution to allow temporary staff to constitute or maintain pension rights in their country of origin.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    1 1 0 4   Salary weightings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    825 000

    1 207 000

    1 384 084,—

    Remarks

    This appropriation is intended to cover, for officials and temporary staff holding a post provided for in the establishment plan, the impact of weightings applicable to remuneration and to the part of emoluments transferred to a country other than the country of employment.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    1 1 0 5   Overtime

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 716 000

    2 399 000

    2 315 831,89

    Remarks

    This appropriation is intended for the payment of overtime pursuant to the provisions mentioned below.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities, and in particular Article 56 thereof and Annex VI thereto.

    Conditions of employment of other servants of the European Communities.

    1 1 0 6   Entitlements under the Staff Regulations related to entering the service, transfer and leaving the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    6 652 000

    7 584 000

    5 008 049,—

    Remarks

    This appropriation is intended to cover:

    travel expenses due to officials and temporary staff (including their families) entering or leaving the service or being transferred to another place of employment,

    installation/resettlement allowances and removal expenses due to officials and temporary staff obliged to change their place of residence on taking up their duties, on transfer to a new place of employment and on leaving the service and resettling elsewhere,

    daily subsistence allowance payable to officials and temporary staff who provide proof that they have had to change their place of residence on taking up their duties or transferring to a new place of employment,

    severance grant for probationers dismissed for obvious inadequacy,

    compensation in the event of termination by the institution of the contract of a temporary staff member.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    1 1 1   Termination of service

    1 1 1 0   Allowances in the event of retirement in the interests of the service (pursuant to Articles 41 and 50 of the Staff Regulations)

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    874 000

    762 000

    355 567,—

    Remarks

    This appropriation is intended to cover allowances for officials:

    assigned non-active status in connection with a measure to reduce the number of posts in the institution,

    holding an AD 16 or AD 15 grade post who are retired in the interests of the service.

    It also covers the employer's contribution to sickness insurance and the impact of weightings applicable to these allowances.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities, and in particular Articles 41 and 50 thereof and Annex IV thereto.

    1 1 1 1   Allowances for staff whose service is terminated

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    5 135 000

    5 252 000

    5 124 154,62

    Remarks

    This appropriation is intended to cover:

    the allowances payable under the Staff Regulations or the Regulation referred to below,

    the employer's contribution to the sickness insurance of persons eligible for the allowances,

    the impact of the weightings applicable to the various allowances.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Council Regulation (EC, Euratom) No 1747/2002 of 30 September 2002 introducing, in the context of the modernisation of the institution, special measures to terminate the service of officials of the European Communities appointed to an established post in the Council of the European Union (OJ L 264, 2.10.2002, p. 5).

    Staff Regulations of officials of the European Communities, and in particular Articles 64 and 72 thereof.

    1 1 1 2   Entitlements of the former Secretaries-General

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    223 000

    221 000

    212 432,—

    Remarks

    This appropriation is intended to cover:

    the retirement pensions of the former Secretaries-General of the institution,

    the survivors' pensions (widows and orphans) of the former Secretaries-General of the institution,

    payment of the weightings applied to the retirement pensions of the former Secretaries-General of the institution.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Regulation No 422/67/EEC, 5/67/Euratom of the Council of 25 July 1967 determining the emoluments of the President and Members of the Commission and of the President, Judges, Advocates General and Registrar of the Court of Justice (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    1 1 2   Provisional appropriation

    1 1 2 0   Provisional appropriation (officials and temporary staff)

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 108 000

    3 513 000

    0,—

    Remarks

    This appropriation is intended to cover the effect of any salary adjustments made by the Council in the course of the financial year.

    It is provisional and may only be used after its transfer to the appropriate headings of this chapter.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities, and in particular Article 65 thereof and Annex XI thereto.

    1 1 2 1   Provisional appropriation (retired staff and staff retired under special arrangements)

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    66 000

    72 000

    0,—

    Remarks

    This appropriation is intended to cover the effect of any salary adjustments made by the Council in the course of the financial year.

    It is provisional and may only be used after its transfer to the appropriate headings of this chapter.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities, and in particular Article 65 thereof and Annex XI thereto.

    CHAPTER 1 2 —   OTHER STAFF AND OUTSIDE SERVICES

    1 2 0   Other staff and outside services

    1 2 0 0   Other staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 356 000

    2 335 000

    3 003 219,—

    Remarks

    This appropriation is mainly intended to cover the remuneration of other staff including auxiliary, contract and local staff and special advisers (within the meaning of the Conditions of employment of other servants of the European Communities), employer's contributions to the various social security schemes and the impact of salary weightings applicable to the remuneration of these staff.

    It is provisional and may only be used after its transfer to the appropriate headings of this chapter.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Conditions of employment of other servants of the European Communities.

    1 2 0 1   National experts on secondment

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 903 000

    1 248 000

    1 134 177,27

    Remarks

    This appropriation is intended to cover allowances and administrative expenses in respect of national experts on secondment other than those in the field of the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Council Decision 2003/479/EC of 16 June 2003 concerning the rules applicable to national experts and military staff on secondment to the General Secretariat of the Council and repealing the Decisions of 25 June 1997 and 22 March 1999, Decision 2001/41/EC and Decision 2001/496/CFSP (OJ L 160, 28.6.2003, p. 72), as last amended by Decision 2006/471/EC (OJ L 187, 8.7.2006, p. 32).

    1 2 0 2   Traineeships

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    432 000

    345 000

    301 234,22

    Remarks

    This appropriation is intended to cover a grant and study travel and mission expenses for trainees, and accident and sickness insurance during traineeships.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    1 2 0 3   Outside services

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    845 000

    707 000

    648 925,95

    Remarks

    This appropriation is intended to cover all services performed by persons not linked to the institution and in particular:

    temporary staff for miscellaneous services,

    supplementary staff for meetings in Luxembourg and Strasbourg,

    experts in the field of working conditions.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    1 2 0 4   Supplementary services for the translation service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    300 000

    300 000

    368 867,61

    Remarks

    This appropriation is intended to cover expenditure relating to translation services provided by external translation agencies to absorb the occasional excessive workload of the Council Language Service, on the one hand, and to verify the translations of agreements, treaties and other arrangements with third countries in non-Community languages, on the other hand.

    Expenditure on any work entrusted to the Translation Centre in Luxembourg is also covered by this item.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    1 2 2   Provisional appropriation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    28 000

    30 000

    30 000,—

    Remarks

    This appropriation is intended to cover the effect of any salary adjustments made by the Council in the course of the financial year.

    It is provisional and may only be used after its transfer to the appropriate headings of this chapter.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Conditions of employment of other servants of the European Communities.

    CHAPTER 1 3 —   OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    1 3 0   Expenditure relating to staff management

    1 3 0 0   Miscellaneous expenditure on recruitment

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    300 000

    424 000

    170 000,—

    Remarks

    This appropriation is intended to cover:

    expenditure on organising the competitions provided for in Article 3 of Decision 2002/621/EC of the Secretaries-General and travel and subsistence expenses for applicants called for interviews and medical examinations,

    the costs of organising selection procedures for temporary, auxiliary and local staff.

    In cases duly justified by operating requirements, and after consulting the Office, this appropriation may be used for competitions organised by the institution itself.

    Assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities, and in particular Articles 27 to 31 and 33 thereof and Annex III thereto.

    Decision 2002/620/EC of the European Parliament, the Council, the Commission, the Court of Justice, the Court of Auditors, the Economic and Social Committee, the Committee of the Regions and the European Ombudsman of 25 July 2002 establishing a European Communities Personnel Selection Office (OJ L 197, 26.7.2002, p. 53) and Decision 2002/621/EC of the Secretaries-General of the European Parliament, the Council and the Commission, the Registrar of the Court of Justice, the Secretaries-General of the Court of Auditors, the Economic and Social Committee, the Committee of the Regions, and the Representative of the European Ombudsman of 25 July 2002 on the organisation and operation of the European Communities Personnel Selection Office (OJ L 197, 26.7.2002, p. 56).

    1 3 0 1   Further training

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 388 000

    1 317 000

    1 381 951,50

    Remarks

    This appropriation is intended to cover:

    further training and retraining courses, including language courses, run on an interinstitutional basis and within the institution,

    officials' enrolment fees for seminars and conferences.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities, and in particular Article 24a thereof.

    Conditions of employment of other servants of the European Communities.

    1 3 1   Measures to assist the institution's staff

    1 3 1 0   Special assistance grants

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    18 000

    18 000

    6 214,88

    Remarks

    This appropriation is intended to cover measures taken to assist officials and other staff in particularly difficult situations.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities, and in particular Article 76 thereof.

    1 3 1 1   Social contacts between members of staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    120 000

    120 000

    120 000,—

    Remarks

    This appropriation is intended to cover costs in connection with social contacts between members of staff and the Council's contribution to the activities of the European Interinstitutional Centre at Overijse.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    1 3 1 2   Supplementary aid for the disabled

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    110 000

    98 000

    70 284,59

    Remarks

    This appropriation is intended for the following categories of disabled persons as part of a policy to assist the disabled:

    officials in service,

    spouses of officials in service,

    all dependent children within the meaning of the Staff Regulations of officials of the European Communities.

    It enables non-medical expenditure that is deemed necessary, results from disablement and is duly substantiated to be reimbursed, subject to budgetary ceilings, once any national entitlements granted in the country of residence or of origin have been exhausted.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    1 3 1 3   Other welfare expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    46 000

    46 000

    46 000,—

    Remarks

    This appropriation is intended to cover other welfare expenditure for staff and their families.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    1 3 2   Activities relating to all persons working with the institution

    1 3 2 0   Medical service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    422 000

    395 000

    360 000,—

    Remarks

    This appropriation is intended to cover in particular:

    the operating costs of the sick bays, the cost of consumables, medical care and medicines at the crèche, expenditure on medical check-ups and expenditure relating to the Invalidity Committees and the cost of spectacles,

    expenditure on the purchase of certain work tools deemed necessary on medical grounds.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities, and in particular Article 59 thereof and Article 8 of Annex II thereto.

    1 3 2 1   Restaurants and canteens

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 000 000

    1 000 000

    830 000,—

    Remarks

    This appropriation is intended to cover remuneration for the services provided by the operator of the restaurants and canteens.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    1 3 2 2   Crèches and childcare facilities

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 898 000

    1 845 000

    1 634 204,—

    Remarks

    This appropriation is intended to cover:

    the Council's contribution to the cost of the Early Childhood Centre and other crèches and childcare facilities (to be paid to the Commission),

    the cost of running the Council crèche.

    Revenue from the parental contribution and from contributions by organisations employing parents gives rise to assigned revenue.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    1 3 3   Missions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    4 830 000

    4 600 000

    4 530 000,—

    Remarks

    This appropriation is intended to cover mission expenses and staff duty travel expenses, together with transport costs, payment of daily subsistence allowances on mission and ancillary or special costs connected with missions.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Staff Regulations of officials of the European Communities, and in particular Articles 11 to 13 of Annex VII thereto.

    TITLE 2

    BUILDINGS, EQUIPMENT AND OPERATING EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 2 0

    2 0 0

    Buildings

    2 0 0 0

    Rent

     

     

     

    Non-differentiated appropriations

    12 450 000

    16 400 000

    15 958 948,02

    2 0 0 1

    Annual lease payments

     

     

     

    Non-differentiated appropriations

    3 190 000

    14 438 000

    0,—

    2 0 0 2

    Acquisition of immovable property

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    104 370 000,—

    2 0 0 3

    Fitting-out of premises

     

     

     

    Non-differentiated appropriations

    8 246 212

    4 675 000

    6 897 479,10

    2 0 0 4

    Work to make premises secure

     

     

     

    Non-differentiated appropriations

    1 200 000

    1 250 000

    1 150 000,—

    2 0 0 5

    Expenditure preliminary to the acquisition, construction and fitting-out of buildings

     

     

     

    Non-differentiated appropriations

    586 000

    560 000

    1 123 713,75

     

    Article 2 0 0 — Total

    25 672 212

    37 323 000

    129 500 140,87

    2 0 1

    Costs relating to buildings

    2 0 1 0

    Cleaning and maintenance

     

     

     

    Non-differentiated appropriations

    13 600 000

    11 965 000

    11 129 458,54

    2 0 1 1

    Water, gas, electricity and heating

     

     

     

    Non-differentiated appropriations

    4 200 000

    3 500 000

    3 164 560,48

    2 0 1 2

    Building security and surveillance

     

     

     

    Non-differentiated appropriations

    7 000 000

    6 495 000

    4 559 000,—

    2 0 1 3

    Insurance

     

     

     

    Non-differentiated appropriations

    360 000

    370 000

    242 850,60

    2 0 1 4

    Other expenditure relating to buildings

     

     

     

    Non-differentiated appropriations

    470 000

    465 000

    319 681,50

     

    Article 2 0 1 — Total

    25 630 000

    22 795 000

    19 415 551,12

     

    CHAPTER 2 0 — TOTAL

    51 302 212

    60 118 000

    148 915 691,99

     

    CHAPTER 2 1

    2 1 0

    Computer systems and telecommunications

    2 1 0 0

    Acquisition of equipment and software

     

     

     

    Non-differentiated appropriations

    6 625 000

    7 190 000

    6 401 152,64

    2 1 0 1

    Outside assistance for the operation and development of computer systems

     

     

     

    Non-differentiated appropriations

    13 011 000

    9 881 000

    10 112 204,43

    2 1 0 2

    Servicing and maintenance of equipment and software

     

     

     

    Non-differentiated appropriations

    4 723 000

    6 425 000

    5 057 559,69

    2 1 0 3

    Telecommunications

     

     

     

    Non-differentiated appropriations

    5 010 000

    4 359 000

    5 528 265,57

     

    Article 2 1 0 — Total

    29 369 000

    27 855 000

    27 099 182,33

    2 1 1

    Furniture

     

     

     

    Non-differentiated appropriations

    1 163 000

    2 067 000

    715 165,—

    2 1 2

    Technical equipment and installations

    2 1 2 0

    Purchase and replacement of technical equipment and installations

     

     

     

    Non-differentiated appropriations

    1 540 000

    1 370 000

    772 473,75

    2 1 2 1

    Outside assistance for the operation and development of technical equipment and installations

     

     

     

    Non-differentiated appropriations

    51 000

    50 000

    0,—

    2 1 2 2

    Rental, servicing, maintenance and repair of technical equipment and installations

     

     

     

    Non-differentiated appropriations

    468 000

    516 000

    327 863,72

     

    Article 2 1 2 — Total

    2 059 000

    1 936 000

    1 100 337,47

    2 1 3

    Transport

     

     

     

    Non-differentiated appropriations

    310 000

    304 000

    300 000,—

     

    CHAPTER 2 1 — TOTAL

    32 901 000

    32 162 000

    29 214 684,80

     

    CHAPTER 2 2

    2 2 0

    Meetings and conferences

    2 2 0 0

    Travel expenses of delegations

     

     

     

    Non-differentiated appropriations

    34 637 000

    30 779 000

    22 183 196,84

    2 2 0 1

    Miscellaneous travel expenses

     

     

     

    Non-differentiated appropriations

    163 000

    160 000

    125 000,—

    2 2 0 2

    Interpreting costs

     

     

     

    Non-differentiated appropriations

    85 510 000

    72 312 000

    43 000 000,—

    2 2 0 3

    Entertainment and representation expenses

     

     

     

    Non-differentiated appropriations

    918 000

    900 000

    855 976,23

    2 2 0 4

    Miscellaneous expenditure on internal meetings

     

     

     

    Non-differentiated appropriations

    1 000 000

    933 000

    710 560,—

    2 2 0 5

    Organisation of conferences, congresses and meetings

     

     

     

    Non-differentiated appropriations

    80 000

    80 000

    766 369,66

     

    Article 2 2 0 — Total

    122 308 000

    105 164 000

    67 641 102,73

    2 2 1

    Information

    2 2 1 0

    Documentation and library expenditure

     

     

     

    Non-differentiated appropriations

    761 000

    695 000

    612 323,84

    2 2 1 1

    Official Journal

     

     

     

    Non-differentiated appropriations

    8 786 000

    11 256 000

    8 865 000,—

    2 2 1 2

    General publications

     

     

     

    Non-differentiated appropriations

    535 000

    680 000

    420 000,—

    2 2 1 3

    Information and public events

     

     

     

    Non-differentiated appropriations

    1 428 000

    389 000

    373 788,31

     

    Article 2 2 1 — Total

    11 510 000

    13 020 000

    10 271 112,15

    2 2 2

    Liaison offices

     

     

     

    Non-differentiated appropriations

    447 000

    420 000

    400 000,—

    2 2 3

    Miscellaneous expenses

    2 2 3 0

    Office supplies

     

     

     

    Non-differentiated appropriations

    1 034 000

    1 504 000

    967 963,—

    2 2 3 1

    Postal charges

     

     

     

    Non-differentiated appropriations

    159 000

    154 000

    149 500,—

    2 2 3 2

    Expenditure on studies, surveys and consultations

     

     

     

    Non-differentiated appropriations

    20 000

    55 000

    20 500,—

    2 2 3 3

    Interinstitutional cooperation

     

     

     

    Non-differentiated appropriations

    110 000

    205 000

    149 771,57

    2 2 3 4

    Removals

     

     

     

    Non-differentiated appropriations

    230 000

    250 000

    4 263,—

    2 2 3 5

    Financial charges

     

     

     

    Non-differentiated appropriations

    80 000

    79 000

    66 200,—

    2 2 3 6

    Legal expenses and costs, damages and compensation

     

     

     

    Non-differentiated appropriations

    600 000

    600 000

    567 856,17

    2 2 3 7

    Other operating expenditure

     

     

     

    Non-differentiated appropriations

    205 000

    287 000

    275 970,47

     

    Article 2 2 3 — Total

    2 438 000

    3 134 000

    2 202 024,21

     

    CHAPTER 2 2 — TOTAL

    136 703 000

    121 738 000

    80 514 239,09

     

    Title 2 — Total

    220 906 212

    214 018 000

    258 644 615,88

    CHAPTER 2 0 —

    BUILDINGS AND ASSOCIATED COSTS

    CHAPTER 2 1 —

    COMPUTER SYSTEMS, EQUIPMENT AND FURNITURE

    CHAPTER 2 2 —

    OPERATING EXPENDITURE

    CHAPTER 2 0 —   BUILDINGS AND ASSOCIATED COSTS

    2 0 0   Buildings

    2 0 0 0   Rent

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    12 450 000

    16 400 000

    15 958 948,02

    Remarks

    This appropriation is intended to cover the rents and taxes on buildings occupied by the Council and the rent for meeting rooms, a warehouse and parking spaces:

    premises occupied in Brussels (with the exception of the Cortenberg building),

    premises occupied in Luxembourg (Kirchberg),

    premises occupied in Geneva,

    premises occupied in New York,

    premises occupied in Strasbourg.

    The amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation is estimated at EUR 938 000.

    The requests for appropriations have been reduced by taking into account the estimated assigned revenue.

    2 0 0 1   Annual lease payments

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 190 000

    14 438 000

    0,—

    Remarks

    This appropriation is intended to cover the annual lease payments for buildings or parts of buildings under existing leases or leases in preparation.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 0 0 2   Acquisition of immovable property

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    104 370 000,—

    Remarks

    This appropriation is intended to cover the acquisition of immovable property.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 0 0 3   Fitting-out of premises

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    8 246 212

    4 675 000

    6 897 479,10

    Remarks

    This appropriation is intended to cover fitting-out work, including:

    fitting-out and transformation of premises in accordance with operational requirements,

    adaptation of premises and technical installations to meet the health and safety requirements and standards in force.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Council Directive 89/391/EEC of 12 June 1989 on the introduction of measures to encourage improvements in the safety and health of workers at work (OJ L 183, 29.6.1989, p. 1), as amended by Regulation (EC) No 1882/2003 of the European Parliament and of the Council (OJ L 284, 31.10.2003, p. 1).

    2 0 0 4   Work to make premises secure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 200 000

    1 250 000

    1 150 000,—

    Remarks

    This appropriation is intended to cover work on the fitting-out of buildings for the purposes of the physical and material safety of persons and property.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 0 0 5   Expenditure preliminary to the acquisition, construction and fitting-out of buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    586 000

    560 000

    1 123 713,75

    Remarks

    This appropriation is intended to cover, inter alia, experts' contributions to the studies on adapting and extending the institution's buildings.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 0 1   Costs relating to buildings

    2 0 1 0   Cleaning and maintenance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    13 600 000

    11 965 000

    11 129 458,54

    Remarks

    This appropriation is intended to cover the following cleaning and maintenance costs:

    the cleaning of offices, workshops and stores (including curtains, net curtains, carpets, blinds, etc.),

    replacement of worn curtains, net curtains and carpets,

    painting,

    miscellaneous maintenance,

    repairs to technical installations,

    technical supplies,

    contracts for the maintenance of miscellaneous technical equipment (air conditioning, heating, waste disposal and lifts).

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 0 1 1   Water, gas, electricity and heating

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    4 200 000

    3 500 000

    3 164 560,48

    Remarks

    This appropriation is intended to cover water, gas, electricity and heating costs.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 0 1 2   Building security and surveillance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    7 000 000

    6 495 000

    4 559 000,—

    Remarks

    This appropriation is intended to cover essentially the costs of caretaking and surveillance in respect of buildings occupied by the Council, with the exception of the Cortenberg and R buildings.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 0 1 3   Insurance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    360 000

    370 000

    242 850,60

    Remarks

    This appropriation is intended to cover the premiums on contracts concluded with insurance companies for the buildings occupied by the Council.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 0 1 4   Other expenditure relating to buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    470 000

    465 000

    319 681,50

    Remarks

    This appropriation is intended to cover any other current expenditure relating to buildings not provided for in the other articles of this chapter, in particular the costs of waste removal, signalling equipment, surveys by specialised bodies, etc.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    CHAPTER 2 1 —   COMPUTER SYSTEMS, EQUIPMENT AND FURNITURE

    2 1 0   Computer systems and telecommunications

    2 1 0 0   Acquisition of equipment and software

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    6 625 000

    7 190 000

    6 401 152,64

    Remarks

    This appropriation is intended to cover expenditure relating to the purchase or rental of equipment or software for computer systems and applications.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 1 0 1   Outside assistance for the operation and development of computer systems

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    13 011 000

    9 881 000

    10 112 204,43

    Remarks

    This appropriation is intended to cover the cost of assistance and training provided by computer services and consultancy firms for the operation and development of computer systems and applications, including support for users.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 1 0 2   Servicing and maintenance of equipment and software

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    4 723 000

    6 425 000

    5 057 559,69

    Remarks

    This appropriation is intended to cover expenditure relating to the servicing and maintenance of computer equipment and systems and applications software.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 1 0 3   Telecommunications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    5 010 000

    4 359 000

    5 528 265,57

    Remarks

    This appropriation is intended to cover subscriptions and the price of communications, data-transmission costs and telegraph and telex links, with the exception of costs relating to the ESDP/CFSP.

    In drawing up these estimates, account was taken of the reusable value when recovering the costs of telephone and telegraph communications.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 1 1   Furniture

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 163 000

    2 067 000

    715 165,—

    Remarks

    This appropriation is intended to cover:

    purchase of furniture and specialised furniture,

    replacement of some of the furniture which was purchased at least 15 years ago or cannot be reused,

    rental of furniture during missions and meetings outside Council premises,

    maintenance and repair of furniture.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 1 2   Technical equipment and installations

    2 1 2 0   Purchase and replacement of technical equipment and installations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 540 000

    1 370 000

    772 473,75

    Remarks

    This appropriation is intended to cover the purchase or replacement of miscellaneous fixed and mobile technical equipment and installations, particularly in connection with archiving, the purchasing department, security, conferences, canteens and buildings.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 1 2 1   Outside assistance for the operation and development of technical equipment and installations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    51 000

    50 000

    0,—

    Remarks

    This appropriation is intended to cover expenditure on technical assistance and supervision, particularly in connection with conferences and canteens.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 1 2 2   Rental, servicing, maintenance and repair of technical equipment and installations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    468 000

    516 000

    327 863,72

    Remarks

    This appropriation is intended to cover the rental of technical equipment and installations and the cost of servicing, maintaining and repairing such technical equipment and installations.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 1 3   Transport

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    310 000

    304 000

    300 000,—

    Remarks

    This appropriation is intended to cover, inter alia:

    the acquisition, leasing and replacement of the vehicle fleet,

    the cost of hiring cars when it is impossible to make use of the means of transport available at the Council, particularly in the course of missions,

    the cost of maintenance and repair of service cars (purchase of petrol, tyres, etc.).

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    CHAPTER 2 2 —   OPERATING EXPENDITURE

    2 2 0   Meetings and conferences

    2 2 0 0   Travel expenses of delegations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    34 637 000

    30 779 000

    22 183 196,84

    Remarks

    This appropriation is intended to cover the refunding of travel expenses incurred by the Presidency and by delegations at:

    meetings of the Council,

    meetings held within the framework of the Council, except for ESDP/CFSP meetings.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Decision No 190/2003 of the Secretary-General of the Council/High Representative for the Common Foreign and Security Policy concerning reimbursement of travel expenses of delegates of Council Members.

    2 2 0 1   Miscellaneous travel expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    163 000

    160 000

    125 000,—

    Remarks

    This appropriation is intended to cover travel and subsistence allowances for experts invited to meetings or sent on mission by the Secretary-General or Deputy Secretary-General.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Decision No 494/2002 of the Secretary-General of the Council/High Representative for the Common Foreign and Security Policy on the reimbursement of travel and subsistence expenses of experts whose services are called upon by the Council.

    Decision No 36/2005 of the Secretary-General of the Council/High Representative for the Common Foreign and Security Policy concerning reimbursement of travel expenses of the chairman of the Euro Group.

    2 2 0 2   Interpreting costs

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    85 510 000

    72 312 000

    43 000 000,—

    Remarks

    This appropriation is intended to cover the services provided to the Council by the Commission's interpreters, except at ESDP/CFSP meetings.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Decision No 56/2004 of the Secretary-General of the Council/High Representative for the Common Foreign and Security Policy concerning interpreting for the European Council, the Council and its preparatory bodies.

    2 2 0 3   Entertainment and representation expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    918 000

    900 000

    855 976,23

    Remarks

    This appropriation is intended to cover expenditure relating to the obligations incumbent upon the institution in the form of entertainment and representation expenses other than in the field of ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 0 4   Miscellaneous expenditure on internal meetings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 000 000

    933 000

    710 560,—

    Remarks

    This appropriation is intended to cover the cost of drinks and occasional snacks served during meetings.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 0 5   Organisation of conferences, congresses and meetings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    80 000

    80 000

    766 369,66

    Remarks

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 1   Information

    2 2 1 0   Documentation and library expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    761 000

    695 000

    612 323,84

    Remarks

    This appropriation is intended to cover:

    the purchase of books and other works in hard copy and/or in electronic form for the library,

    subscriptions to newspapers, periodicals, services supplying analyses of their content and other on-line publications (with the exception of press agencies); this appropriation also covers any copyright costs arising out of the reproduction and circulation of such publications in hard copy and/or electronically,

    the costs of access to external documentary and statistical databases,

    the cost of subscriptions to teleprinter news agencies,

    bookbinding and other costs essential for preserving books and periodicals.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 1 1   Official Journal

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    8 786 000

    11 256 000

    8 865 000,—

    Remarks

    This appropriation is intended to cover the costs of preparing, publishing by traditional means (paper or microfilm) or electronic methods and disseminating the texts which the Council is required to publish in the Official Journal of the European Union pursuant to Article 17 of its Rules of Procedure in particular.

    The amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation is estimated at EUR 936 000.

    2 2 1 2   General publications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    535 000

    680 000

    420 000,—

    Remarks

    This appropriation is intended to cover the costs of preparing, publishing in the official languages of the Member States of the European Union, by traditional means (paper or microfilm) or electronic methods, and disseminating Council publications other than those published in the Official Journal of the European Union.

    The amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation is estimated at EUR 500.

    2 2 1 3   Information and public events

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 428 000

    389 000

    373 788,31

    Remarks

    This appropriation is intended to cover:

    expenditure arising, inter alia, from public meetings of the Council and assistance for audiovisual media covering the work of the institution (renting of equipment and radio/TV service contracts, purchase, maintenance and repair of the equipment necessary for radio/TV transmissions, external photo services, etc.),

    the cost of miscellaneous information and public relations activities,

    expenditure on publicity and the promotion of publications and public events relating to the institution's activities, including ancillary management and infrastructure costs.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 2   Liaison offices

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    447 000

    420 000

    400 000,—

    Remarks

    This appropriation is intended to cover running costs for the New York and Geneva liaison offices not provided for under the preceding headings.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 3   Miscellaneous expenses

    2 2 3 0   Office supplies

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 034 000

    1 504 000

    967 963,—

    Remarks

    This appropriation is intended to cover:

    purchase of paper,

    photocopies and fees,

    paper and office supplies (day-to-day supplies),

    printed material,

    supplies for dispatching mail (envelopes, wrapping paper, plates for the franking machine),

    supplies for the document reproduction workshop (printers' inks, offset plates, films and chemicals for preparing plates).

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 3 1   Postal charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    159 000

    154 000

    149 500,—

    Remarks

    This appropriation is intended to cover expenditure on postal charges.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 3 2   Expenditure on studies, surveys and consultations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    20 000

    55 000

    20 500,—

    Remarks

    This appropriation is intended to cover the cost of studies and consultations contracted out to highly qualified experts.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 3 3   Interinstitutional cooperation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    110 000

    205 000

    149 771,57

    Remarks

    This appropriation is intended to cover expenditure on interinstitutional activities in the language field.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 3 4   Removals

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    230 000

    250 000

    4 263,—

    Remarks

    This appropriation is intended to cover the cost of the removal and transport of equipment.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 3 5   Financial charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    80 000

    79 000

    66 200,—

    Remarks

    This appropriation is intended to cover all financial charges, including bank charges.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 3 6   Legal expenses and costs, damages and compensation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    600 000

    600 000

    567 856,17

    Remarks

    This appropriation is intended to cover:

    costs which may be awarded against the Council by the Court of Justice and the Court of First Instance of the European Communities and the cost of employing outside lawyers to represent the Council in court,

    costs of consulting outside lawyers,

    damages and compensation for which the Council may be liable.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    2 2 3 7   Other operating expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    205 000

    287 000

    275 970,47

    Remarks

    This appropriation is intended to cover:

    insurance other than insurance on buildings, which is charged to Item 2 0 1 3,

    cost of purchasing working clothes for conference service staff and security service staff, working equipment for workshop staff and internal services staff and the repair and maintenance of working clothes,

    the Council contribution towards the expenditure of some associations whose activities are directly related to those of the Community institutions,

    other operating expenditure not specially provided for under the preceding headings.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    TITLE 3

    EXPENDITURE ARISING OUT OF THE INSTITUTION'S PERFORMANCE OF ITS SPECIFIC MISSIONS

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 3 0

    3 0 0

    Other staff and external personnel

    3 0 0 0

    Allowances for seconded national military experts

     

     

     

    Non-differentiated appropriations

    6 598 000

    8 102 000

    4 638 042,78

    3 0 0 1

    Allowances of the national experts seconded in connection with the ESDP/CFSP

     

     

     

    Non-differentiated appropriations

    3 298 000

    2 904 000

    1 994 463,87

    3 0 0 2

    Special advisers in the field of the ESDP/CFSP

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    147 145,96

     

    Article 3 0 0 — Total

    9 896 000

    11 006 000

    6 779 652,61

    3 0 1

    Other expenditure in connection with staff

    3 0 1 0

    Missions

     

     

     

    Non-differentiated appropriations

    1 218 000

    939 000

    954 000,—

    3 0 1 1

    Further training

     

     

     

    Non-differentiated appropriations

    30 000

    25 000

    17 936,81

     

    Article 3 0 1 — Total

    1 248 000

    964 000

    971 936,81

     

    CHAPTER 3 0 — TOTAL

    11 144 000

    11 970 000

    7 751 589,42

     

    CHAPTER 3 1

    3 1 0

    Buildings

    3 1 0 0

    Rent

     

     

     

    Non-differentiated appropriations

    4 450 000

    4 180 000

    3 773 247,19

    3 1 0 3

    Fitting-out of premises

     

     

     

    Non-differentiated appropriations

    320 000

    390 000

    3 444 438,30

    3 1 0 4

    Work to make premises secure

     

     

     

    Non-differentiated appropriations

    300 000

    1 500 000

    50 000,—

    3 1 0 5

    Expenditure preliminary to the acquisition, construction and fitting-out of buildings

     

     

     

    Non-differentiated appropriations

    15 000

    25 000

    149 911,—

     

    Article 3 1 0 — Total

    5 085 000

    6 095 000

    7 417 596,49

    3 1 1

    Costs relating to buildings

    3 1 1 0

    Cleaning and maintenance

     

     

     

    Non-differentiated appropriations

    880 000

    775 000

    762 581,08

    3 1 1 1

    Water, gas, electricity and heating

     

     

     

    Non-differentiated appropriations

    420 000

    360 000

    370 500,—

    3 1 1 2

    Building security and surveillance

     

     

     

    Non-differentiated appropriations

    2 000 000

    1 100 000

    1 617 699,54

    3 1 1 3

    Insurance

     

     

     

    Non-differentiated appropriations

    16 000

    10 000

    9 487,02

    3 1 1 4

    Other expenditure on buildings

     

     

     

    Non-differentiated appropriations

    35 000

    25 000

    23 291,—

     

    Article 3 1 1 — Total

    3 351 000

    2 270 000

    2 783 558,64

     

    CHAPTER 3 1 — TOTAL

    8 436 000

    8 365 000

    10 201 155,13

     

    CHAPTER 3 2

    3 2 0

    Computer systems and telecommunications

    3 2 0 0

    Acquisition of equipment and software

     

     

     

    Non-differentiated appropriations

    9 738 000

    32 906 000

    1 106 753,01

    3 2 0 1

    Outside assistance for the operation and development of computer systems

     

     

     

    Non-differentiated appropriations

    5 864 000

    2 780 000

    3 008 771,76

    3 2 0 2

    Servicing and maintenance of equipment and software

     

     

     

    Non-differentiated appropriations

    690 000

    718 000

    538 079,46

    3 2 0 3

    Telecommunications

     

     

     

    Non-differentiated appropriations

    3 350 000

    1 576 000

    553 627,09

     

    Article 3 2 0 — Total

    19 642 000

    37 980 000

    5 207 231,32

    3 2 1

    Furniture

     

     

     

    Non-differentiated appropriations

    30 000

    65 000

    337 785,28

     

    CHAPTER 3 2 — TOTAL

    19 672 000

    38 045 000

    5 545 016,60

     

    CHAPTER 3 3

    3 3 0

    Meetings and conferences

    3 3 0 0

    Delegations' travel expenses

     

     

     

    Non-differentiated appropriations

    846 000

    738 000

    491 000,—

    3 3 0 1

    Miscellaneous travel expenses

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    3 3 0 2

    Interpreting costs

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    3 3 0 3

    Entertainment and representation expenses

     

     

     

    Non-differentiated appropriations

    15 000

    15 000

    10 000,—

    3 3 0 4

    Administrative expenses incurred in connection with travel

     

     

     

    Non-differentiated appropriations

    p.m.

    20 000

    0,—

    3 3 0 5

    Miscellaneous meeting expenses

     

     

     

    Non-differentiated appropriations

    20 000

    20 000

    15 000,—

     

    Article 3 3 0 — Total

    881 000

    793 000

    516 000,—

    3 3 1

    Information

    3 3 1 0

    Documentation and library expenditure

     

     

     

    Non-differentiated appropriations

    179 000

    140 000

    135 000,—

    3 3 1 1

    General publications

     

     

     

    Non-differentiated appropriations

    60 000

    p.m.

    0,—

    3 3 1 2

    Information and public events

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    Article 3 3 1 — Total

    239 000

    140 000

    135 000,—

    3 3 2

    Miscellaneous expenses

    3 3 2 0

    Office supplies

     

     

     

    Non-differentiated appropriations

    p.m.

    80 000

    0,—

    3 3 2 1

    Expenditure on studies, surveys and consultations

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    3 3 2 2

    Other operating expenditure

     

     

     

    Non-differentiated appropriations

    20 000

    15 000

    9 660,42

     

    Article 3 3 2 — Total

    20 000

    95 000

    9 660,42

     

    CHAPTER 3 3 — TOTAL

    1 140 000

    1 028 000

    660 660,42

     

    Title 3 — Total

    40 392 000

    59 408 000

    24 158 421,57

    CHAPTER 3 0 —

    STAFF

    CHAPTER 3 1 —

    BUILDINGS AND ASSOCIATED COSTS

    CHAPTER 3 2 —

    COMPUTER SYSTEMS, EQUIPMENT AND FURNITURE

    CHAPTER 3 3 —

    OPERATING EXPENDITURE

    CHAPTER 3 0 —   STAFF

    3 0 0   Other staff and external personnel

    3 0 0 0   Allowances for seconded national military experts

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    6 598 000

    8 102 000

    4 638 042,78

    Remarks

    This appropriation is intended to finance the emoluments of the national military experts posted to serve as the European Union military staff under the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Council Decision 2000/178/CFSP of 28 February 2000 on the rules applicable to national experts in the military field on secondment to the General Secretariat of the Council during the interim period (OJ L 57, 2.3.2000, p. 1).

    Council Decision 2001/80/CFSP of 22 January 2001 on the establishment of the Military Staff of the European Union (OJ L 27, 30.1.2001, p. 7), as amended by Decision 2005/395/CFSP (OJ L 132, 26.5.2005, p. 17).

    Council Decision 2003/479/EC of 16 June 2003 concerning the rules applicable to national experts and military staff on secondment to the General Secretariat of the Council and repealing the Decisions of 25 June 1997 and 22 March 1999, Decision 2001/41/EC and Decision 2001/496/CFSP (OJ L 160, 28.6.2003, p. 72), as last amended by Decision 2006/471/EC (OJ L 187, 8.7.2006, p. 32).

    3 0 0 1   Allowances of the national experts seconded in connection with the ESDP/CFSP

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 298 000

    2 904 000

    1 994 463,87

    Remarks

    This appropriation is intended to finance the emoluments of the national experts posted to serve under the ESDP/CFSP, inter alia, in the crisis management and computer security sectors.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Council Decision 2003/479/EC of 16 June 2003 concerning the rules applicable to national experts and military staff on secondment to the General Secretariat of the Council and repealing the Decisions of 25 June 1997 and 22 March 1999, Decision 2001/41/EC and Decision 2001/496/CFSP (OJ L 160, 28.6.2003, p. 72), as last amended by Decision 2006/471/EC (OJ L 187, 8.7.2006, p. 32).

    3 0 0 2   Special advisers in the field of the ESDP/CFSP

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    147 145,96

    Remarks

    This appropriation is intended to cover the remuneration of special advisers appointed by the Council to perform specific expert assignments under the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Conditions of employment of other servants of the European Communities, and in particular Articles 5, 119 and 120 thereof.

    3 0 1   Other expenditure in connection with staff

    3 0 1 0   Missions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 218 000

    939 000

    954 000,—

    Remarks

    This appropriation is intended to finance:

    the mission expenses incurred under the European Union military staff's terms of reference,

    the mission expenses of national experts on secondment under the ESPD/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Council Decision 2001/80/CFSP of 22 January 2001 on the establishment of the Military Staff of the European Union (OJ L 27, 30.1.2001, p. 7), as amended by Decision 2005/395/CFSP (OJ L 132, 26.5.2005, p. 17).

    Council Decision 2003/479/EC of 16 June 2003 concerning the rules applicable to national experts and military staff on secondment to the General Secretariat of the Council and repealing the Decisions of 25 June 1997 and 22 March 1999, Decision 2001/41/EC and Decision 2001/496/CFSP (OJ L 160, 28.6.2003, p. 72), as last amended by Decision 2006/471/EC (OJ L 187, 8.7.2006, p. 32).

    3 0 1 1   Further training

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    30 000

    25 000

    17 936,81

    Remarks

    This appropriation is intended to cover the expenses of attendance at courses, conferences and congresses under the European Union military staff's terms of reference.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Council Decision 2000/178/CFSP of 28 February 2000 on the rules applicable to national experts in the military field on secondment to the General Secretariat of the Council during the interim period (OJ L 57, 2.3.2000, p. 1).

    Council Decision 2001/80/CFSP of 22 January 2001 on the establishment of the Military Staff of the European Union (OJ L 27, 30.1.2001, p. 7), as amended by Decision 2005/395/CFSP (OJ L 132, 26.5.2005, p. 17).

    CHAPTER 3 1 —   BUILDINGS AND ASSOCIATED COSTS

    3 1 0   Buildings

    3 1 0 0   Rent

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    4 450 000

    4 180 000

    3 773 247,19

    Remarks

    This appropriation is intended to cover the rent of the Cortenberg and R buildings in Brussels, which are intended to accommodate the officials and national experts on secondment under the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 1 0 3   Fitting-out of premises

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    320 000

    390 000

    3 444 438,30

    Remarks

    New item

    Former item 3 1 0 1

    This appropriation is intended to cover fitting-out work, including:

    the fitting-out of premises in accordance with operational requirements,

    the adaptation of premises to meet the health and safety requirements and standards in force.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Council Directive 89/391/EEC of 12 June 1989 on the introduction of measures to encourage improvements in the safety and health of workers at work (OJ L 183, 29.6.1989, p. 1), as amended by Regulation (EC) No 1882/2003 of the European Parliament and of the Council (OJ L 284, 31.10.2003, p. 1).

    3 1 0 4   Work to make premises secure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    300 000

    1 500 000

    50 000,—

    Remarks

    New item

    Former Item 3 1 0 2

    This appropriation is intended to pay for work to make the Cortenberg and R buildings secure.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 1 0 5   Expenditure preliminary to the acquisition, construction and fitting-out of buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    15 000

    25 000

    149 911,—

    Remarks

    New item

    Former Item 3 1 0 3

    This appropriation is intended to pay for architectural and engineering studies in connection with the use of the Cortenberg and R buildings.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 1 1   Costs relating to buildings

    3 1 1 0   Cleaning and maintenance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    880 000

    775 000

    762 581,08

    Remarks

    This appropriation is intended to cover the following cleaning and maintenance costs:

    cleaning of offices, workshops and stores (including curtains, net curtains, carpets, blinds, etc.),

    replacement of worn curtains, net curtains and carpets,

    painting,

    miscellaneous maintenance,

    repairs to technical installations,

    technical supplies,

    contracts for the maintenance of miscellaneous technical equipment (air conditioning, heating, waste disposal and lifts).

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 1 1 1   Water, gas, electricity and heating

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    420 000

    360 000

    370 500,—

    Remarks

    This appropriation is intended to cover payment for the water, gas and electricity consumed in the Cortenberg building and its heating.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 1 1 2   Building security and surveillance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 000 000

    1 100 000

    1 617 699,54

    Remarks

    This appropriation is intended to cover essentially the costs of caretaking and surveillance for the Cortenberg and R buildings.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 1 1 3   Insurance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    16 000

    10 000

    9 487,02

    Remarks

    This appropriation is intended for the payment of insurance premiums relating to the Cortenberg and R buildings.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 1 1 4   Other expenditure on buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    35 000

    25 000

    23 291,—

    Remarks

    This appropriation is intended to cover any other current expenditure at the Cortenberg and R buildings not specifically provided for in the other articles of this chapter, in particular the costs of waste removal, signalling equipment, surveys by specialised bodies, etc.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    CHAPTER 3 2 —   COMPUTER SYSTEMS, EQUIPMENT AND FURNITURE

    3 2 0   Computer systems and telecommunications

    3 2 0 0   Acquisition of equipment and software

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    9 738 000

    32 906 000

    1 106 753,01

    Remarks

    This appropriation is intended to finance the purchase, rental and renewal of equipment or software for computer systems and applications, office and telecommunications equipment and technical installations for departments working under the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Decision of the Deputy Secretary-General of 18 December 2000 setting up an Infosec (Information Systems Security) unit.

    3 2 0 1   Outside assistance for the operation and development of computer systems

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    5 864 000

    2 780 000

    3 008 771,76

    Remarks

    This appropriation is intended to cover expenditure on assistance from computer services and consultancy firms in the operation and development of computer and telecommunications systems, applications and equipment and technical installations (including support for users) for departments working under the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 2 0 2   Servicing and maintenance of equipment and software

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    690 000

    718 000

    538 079,46

    Remarks

    This appropriation is intended to cover expenditure relating to the servicing and maintenance of computer equipment and systems and applications software, office and telecommunications equipment and technical installations for departments working under the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 2 0 3   Telecommunications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 350 000

    1 576 000

    553 627,09

    Remarks

    This appropriation is intended to cover subscriptions, the cost of communications and data-transmission expenses incurred specifically in connection with activities carried on under the ESDP/CFSP.

    In the establishment of these estimates, account was taken of the increased reusable value when recovering the costs of telephone and telegraph communications and of tariff agreements concluded with Belgacom.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 2 1   Furniture

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    30 000

    65 000

    337 785,28

    Remarks

    This appropriation is intended to finance the acquisition of specific, secure and specialised furniture for officials and national experts on secondment under the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    CHAPTER 3 3 —   OPERATING EXPENDITURE

    3 3 0   Meetings and conferences

    3 3 0 0   Delegations' travel expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    846 000

    738 000

    491 000,—

    Remarks

    This appropriation is intended to cover travelling expenses incurred by the Presidency and delegations on the occasion of meetings of the Political and Security Committee and the Military Committee and of other meetings held specifically within the framework of the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Council Decision 2001/78/CFSP of 22 January 2001 setting up the Political and Security Committee (OJ L 27, 30.1.2001, p. 1).

    Decision No 190/2003 of the Secretary-General of the Council/High Representative for the Common Foreign and Security Policy concerning reimbursement of Council Members' delegates' travel expenses.

    3 3 0 1   Miscellaneous travel expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    The appropriations to be entered under this item are intended to cover travel and subsistence allowances for ESDP/CFSP experts invited to meetings or sent on mission by the Secretary-General of the Council/High Representative for the Common Foreign and Security Policy.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Decision No 494/2002 of the Secretary-General of the Council/High Representative for the Common Foreign and Security Policy on the reimbursement of travel and subsistence expenses of experts whose services are called upon by the Council.

    3 3 0 2   Interpreting costs

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    This appropriation is intended to cover the services provided to the Council by the Commission interpreters on the occasion of meetings of the Political and Security Committee and the Military Committee and of other meetings held specifically within the framework of the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Council Decision 2001/78/CFSP of 22 January 2001 setting up the Political and Security Committee (OJ L 27, 30.1.2001, p. 1).

    3 3 0 3   Entertainment and representation expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    15 000

    15 000

    10 000,—

    Remarks

    This appropriation is intended to cover the entertainment and representation expenses, inter alia, of the Political and Security Committee and of the European Union military staff's national experts on secondment.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 3 0 4   Administrative expenses incurred in connection with travel

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    20 000

    0,—

    Remarks

    This appropriation is intended to cover incidental expenses incurred outside the Council's headquarters in connection with travel undertaken under the ESDP/CFSP: temporary rental of premises and technical equipment, translations and interpretation, telecommunications expenses and other miscellaneous meeting expenses.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Council Decision 2001/80/CFSP of 22 January 2001 on the establishment of the Military Staff of the European Union (OJ L 27, 30.1.2001, p. 7), as amended by Decision 2005/395/CFSP (OJ L 132, 26.5.2005, p. 17).

    Council Decision 2003/479/EC of 16 June 2003 concerning the rules applicable to national experts and military staff on secondment to the General Secretariat of the Council and repealing the Decisions of 25 June 1997 and 22 March 1999, Decision 2001/41/EC and Decision 2001/496/CFSP (OJ L 160, 28.6.2003, p. 72), as last amended by Decision 2006/471/EC (OJ L 187, 8.7.2006, p. 32).

    3 3 0 5   Miscellaneous meeting expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    20 000

    20 000

    15 000,—

    Remarks

    This appropriation is intended to cover the meeting expenses and other miscellaneous administrative expenses incurred in connection with the implementation of the ESDP/CFSP which are not specifically provided for in any other item.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 3 1   Information

    3 3 1 0   Documentation and library expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    179 000

    140 000

    135 000,—

    Remarks

    This appropriation is intended to cover study costs and the acquisition of specialised expertise, documentation and data under the European Union military staff's terms of reference.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    Legal basis

    Council Decision 2001/80/CFSP of 22 January 2001 on the establishment of the Military Staff of the European Union (OJ L 27, 30.1.2001, p. 7), as amended by Decision 2005/395/CFSP (OJ L 132, 26.5.2005, p. 17).

    3 3 1 1   General publications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    60 000

    p.m.

    0,—

    Remarks

    This appropriation is intended to cover the costs of preparing, publishing by traditional means (paper or microfilm) or electronic methods and disseminating Council ESDP/CFSP publications other than in the Official Journal.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 3 1 2   Information and public events

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    The appropriations to be entered under this item are intended to cover expenditure on information under the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 3 2   Miscellaneous expenses

    3 3 2 0   Office supplies

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    80 000

    0,—

    Remarks

    This appropriation is intended to finance the acquisition of stationery and office supplies for officials and national experts on secondment under the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 3 2 1   Expenditure on studies, surveys and consultations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    This appropriation is intended to cover the cost of studies and consultations contracted out to highly qualified experts in the field of the ESDP/CFSP.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    3 3 2 2   Other operating expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    20 000

    15 000

    9 660,42

    Remarks

    This appropriation is intended to finance the acquisition of uniforms and accessories, in particular for the security personnel responsible for the Cortenberg and R buildings.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    TITLE 10

    OTHER EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 10 0

    350 000

    p.m.

    0,—

     

    CHAPTER 10 0 — TOTAL

    350 000

    p.m.

    0,—

     

    CHAPTER 10 1

    2 500 000

    5 000 000

    0,—

     

    CHAPTER 10 1 — TOTAL

    2 500 000

    5 000 000

    0,—

     

    Title 10 — Total

    2 850 000

    5 000 000

    0,—

     

    GRAND TOTAL

    593 528 212

    591 752 953

    555 861 753,45

    CHAPTER 10 0 —

    PROVISIONAL APPROPRIATIONS

    CHAPTER 10 1 —

    CONTINGENCY RESERVE

    CHAPTER 10 0 —   PROVISIONAL APPROPRIATIONS

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    350 000

    p.m.

    0,—

    Remarks

    The appropriations entered in this chapter are provisional and may be used only after their transfer to other chapters in accordance with the Financial Regulation.

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    CHAPTER 10 1 —   CONTINGENCY RESERVE

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 500 000

    5 000 000

    0,—

    Remarks

    This appropriation is intended to cover expenditure resulting from budgetary decisions taken in the course of the financial year (expenditure that cannot be estimated).

    SECTION IV

    COURT OF JUSTICE

    REVENUE

    Contribution of the European Communities to the financing of the expenditure of the Court of Justice for the financial year 2007

    Heading

    Amount

    Expenditure

    272 219 390

    Own resources

    –35 284 000

    Contribution due

    236 935 390

    OWN RESOURCES

    TITLE 4

    REVENUE FROM PERSONS WORKING WITH THE INSTITUTION

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 4 0

    4 0 0

    Proceeds from taxation on the salaries, wages and allowances of Members of the institution, officials, other servants and persons in receipt of a pension

    19 808 000

    17 762 000

    16 107 724,68

    4 0 4

    Proceeds from the special levy on the salaries of Members of the institution, officials and other servants in active employment

    1 731 000

    1 315 000

    1 240 547,15

     

    CHAPTER 4 0 — TOTAL

    21 539 000

    19 077 000

    17 348 271,83

     

    CHAPTER 4 1

    4 1 0

    Staff contributions to the pension scheme

    13 395 000

    10 895 000

    10 753 380,56

    4 1 1

    Transfer or repayment of pension rights by staff

    250 000

    250 000

    1 413 991,57

     

    CHAPTER 4 1 — TOTAL

    13 645 000

    11 145 000

    12 167 372,13

     

    Title 4 — Total

    35 184 000

    30 222 000

    29 515 643,96

    CHAPTER 4 0 —

    MISCELLANEOUS TAXES AND DEDUCTIONS

    CHAPTER 4 1 —

    CONTRIBUTION TO THE PENSION SCHEME

    CHAPTER 4 0 —   MISCELLANEOUS TAXES AND DEDUCTIONS

    4 0 0   Proceeds from taxation on the salaries, wages and allowances of Members of the institution, officials, other servants and persons in receipt of a pension

    Financial year 2007

    Financial year 2006

    Financial year 2005

    19 808 000

    17 762 000

    16 107 724,68

    Remarks

    Protocol on the privileges and immunities of the European Communities, and in particular Article 13 thereof.

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and members of the Commission and of the President, Judges, Advocates-General and Registrar of the Court of Justice and of the President, Members and Registrar of the European Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    Council Regulation (EEC, Euratom, ECSC) No 260/68 of 29 February 1968 laying down the conditions and procedure for applying the tax for the benefit of the European Communities (OJ L 56, 4.3.1968, p. 8), as last amended by Regulation (EC, Euratom) No 1750/2002 (OJ L 264, 2.10.2002, p. 15).

    4 0 4   Proceeds from the special levy on the salaries of Members of the institution, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    1 731 000

    1 315 000

    1 240 547,15

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 66a thereof.

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and members of the Commission and of the President, Judges, Advocates-General and Registrar of the Court of Justice and of the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    CHAPTER 4 1 —   CONTRIBUTION TO THE PENSION SCHEME

    4 1 0   Staff contributions to the pension scheme

    Financial year 2007

    Financial year 2006

    Financial year 2005

    13 395 000

    10 895 000

    10 753 380,56

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 83(2) thereof.

    4 1 1   Transfer or repayment of pension rights by staff

    Financial year 2007

    Financial year 2006

    Financial year 2005

    250 000

    250 000

    1 413 991,57

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 107 thereof and Articles 11(2) and 48 of Annex VIII thereto.

    TITLE 5

    REVENUE ACCRUING FROM THE ADMINISTRATION OF THE INSTITUTION

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 5 0

    5 0 0

    Proceeds from the sale of movable property (supplies)

    5 0 0 0

    Proceeds from the sale of vehicles — Assigned revenue

    p.m.

    p.m.

    87,50

    5 0 0 1

    Proceeds from the sale of other movable property — Assigned revenue

    p.m.

    p.m.

    1 000,—

     

    Article 5 0 0 — Total

    p.m.

    p.m.

    1 087,50

    5 0 2

    Proceeds from the sale of publications, printed works and films — Assigned revenue

    p.m.

    p.m.

    593 370,37

     

    CHAPTER 5 0 — TOTAL

    p.m.

    p.m.

    594 457,87

     

    CHAPTER 5 2

    5 2 0

    Revenue from investments or loans granted, bank and other interest on the institution's accounts

    90 000

    125 000

    94 461,87

     

    CHAPTER 5 2 — TOTAL

    90 000

    125 000

    94 461,87

     

    CHAPTER 5 5

    5 5 0

    Revenue from the proceeds of services supplied to or work carried out for other institutions or bodies, including the amount of mission allowances paid on behalf of other institutions or bodies and reimbursed by the latter — Assigned revenue

    p.m.

    p.m.

    71 860,—

    5 5 1

    Revenue from other persons for services supplied or work carried out at their request — Assigned revenue

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 5 — TOTAL

    p.m.

    p.m.

    71 860,—

     

    CHAPTER 5 7

    5 7 0

    Revenue from the repayment of sums paid though not due — Assigned revenue

    p.m.

    p.m.

    40 323,—

    5 7 3

    Other contributions and refunds connected with the administrative operation of the institution — Assigned revenue

    p.m.

    p.m.

    66 190,19

     

    CHAPTER 5 7 — TOTAL

    p.m.

    p.m.

    106 513,19

     

    CHAPTER 5 8

    5 8 0

    Revenue from payments connected with lettings — Assigned revenue

    p.m.

    p.m.

    0,—

    5 8 1

    Revenue from insurance payments received — Assigned revenue

    p.m.

    p.m.

    10 181,39

     

    CHAPTER 5 8 — TOTAL

    p.m.

    p.m.

    10 181,39

     

    Title 5 — Total

    90 000

    125 000

    877 474,32

    CHAPTER 5 0 —

    PROCEEDS FROM THE SALE OF MOVABLE AND IMMOVABLE PROPERTY

    CHAPTER 5 2 —

    REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST ON THE INSTITUTION'S ACCOUNTS

    CHAPTER 5 5 —

    REVENUE FROM THE PROCEEDS OF SERVICES SUPPLIED AND WORK CARRIED OUT

    CHAPTER 5 7 —

    OTHER CONTRIBUTIONS AND REFUNDS CONNECTED WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS

    CHAPTER 5 8 —

    MISCELLANEOUS COMPENSATION

    CHAPTER 5 0 —   PROCEEDS FROM THE SALE OF MOVABLE AND IMMOVABLE PROPERTY

    5 0 0   Proceeds from the sale of movable property (supplies)

    5 0 0 0   Proceeds from the sale of vehicles — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    87,50

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 0 1   Proceeds from the sale of other movable property — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    1 000,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 2   Proceeds from the sale of publications, printed works and films — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    593 370,37

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 2 —   REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST ON THE INSTITUTION'S ACCOUNTS

    5 2 0   Revenue from investments or loans granted, bank and other interest on the institution's accounts

    Financial year 2007

    Financial year 2006

    Financial year 2005

    90 000

    125 000

    94 461,87

    CHAPTER 5 5 —   REVENUE FROM THE PROCEEDS OF SERVICES SUPPLIED AND WORK CARRIED OUT

    5 5 0   Revenue from the proceeds of services supplied to or work carried out for other institutions or bodies, including the amount of mission allowances paid on behalf of other institutions or bodies and reimbursed by the latter — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    71 860,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 5 1   Revenue from other persons for services supplied or work carried out at their request — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 7 —   OTHER CONTRIBUTIONS AND REFUNDS CONNECTED WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS

    5 7 0   Revenue from the repayment of sums paid though not due — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    40 323,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 7 3   Other contributions and refunds connected with the administrative operation of the institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    66 190,19

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 8 —   MISCELLANEOUS COMPENSATION

    5 8 0   Revenue from payments connected with lettings — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 8 1   Revenue from insurance payments received — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    10 181,39

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    TITLE 9

    MISCELLANEOUS REVENUE

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 9 0

    9 0 0

    Miscellaneous revenue

    10 000

    10 000

    115 099,66

     

    CHAPTER 9 0 — TOTAL

    10 000

    10 000

    115 099,66

     

    Title 9 — Total

    10 000

    10 000

    115 099,66

     

    GRAND TOTAL

    35 284 000

    30 357 000

    30 508 217,94

    CHAPTER 9 0 —

    MISCELLANEOUS REVENUE

    CHAPTER 9 0 —   MISCELLANEOUS REVENUE

    9 0 0   Miscellaneous revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    10 000

    10 000

    115 099,66

    EXPENDITURE

    General summary of appropriations (2007 and 2006) and outturn (2005)

    Title

    Chapter

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1

    PERSONS WORKING WITH THE INSTITUTION

    1 0

    MEMBERS OF THE INSTITUTION

    29 288 800

    26 437 000

    22 384 219,83

    1 2

    OFFICIALS AND TEMPORARY STAFF

    177 264 190

    159 572 702

    140 456 246,48

    1 4

    OTHER STAFF AND EXTERNAL SERVICES

    12 803 900

    13 811 500

    9 657 150,70

    1 6

    OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    3 384 100

    3 234 200

    2 897 428,87

     

    Title 1 — Total

    222 740 990

    203 055 402

    175 395 045,88

    2

    BUILDINGS, FURNITURE, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    2 0

    BUILDINGS AND ASSOCIATED COSTS

    28 282 000

    27 751 000

    17 199 859,26

    2 1

    DATA PROCESSING, EQUIPMENT AND MOVABLE PROPERTY: PURCHASE, HIRE AND SERVICING

    12 527 400

    12 691 000

    13 402 347,57

    2 3

    CURRENT ADMINISTRATIVE EXPENDITURE

    2 204 500

    2 565 500

    2 610 960,55

    2 5

    EXPENDITURE ON MEETINGS AND CONFERENCES

    721 900

    751 800

    632 408,26

    2 7

    INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISTRIBUTION

    3 206 600

    3 483 900

    4 030 333,84

     

    Title 2 — Total

    46 942 400

    47 243 200

    37 875 909,48

    3

    EXPENDITURE RESULTING FROM SPECIAL FUNCTIONS CARRIED OUT BY THE INSTITUTION

    3 7

    EXPENDITURE RELATING TO CERTAIN INSTITUTIONS AND BODIES

    36 000

    40 000

    2 990,05

     

    Title 3 — Total

    36 000

    40 000

    2 990,05

    10

    OTHER EXPENDITURE

    10 0

    PROVISIONAL APPROPRIATIONS

    2 500 000

    p.m.

    0,—

    10 1

    CONTINGENCY RESERVE

    p.m.

    p.m.

    0,—

     

    Title 10 — Total

    2 500 000

    p.m.

    0,—

     

    GRAND TOTAL

    272 219 390

    250 338 602

    213 273 945,41

    TITLE 1

    PERSONS WORKING WITH THE INSTITUTION

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 1 0

    1 0 0

    Remunerations and other rights

    1 0 0 0

    Remunerations and allowances

     

     

     

    Non-differentiated appropriations

    20 797 000

    19 378 000

    17 082 122,08

    1 0 0 2

    Rights connected with entering the service, transfer and leaving the service

     

     

     

    Non-differentiated appropriations

    1 187 800

    1 193 000

    494 097,02

     

    Article 1 0 0 — Total

    21 984 800

    20 571 000

    17 576 219,10

    1 0 2

    Temporary allowances

     

     

     

    Non-differentiated appropriations

    2 393 000

    1 384 000

    1 030 083,52

    1 0 3

    Pensions

     

     

     

    Non-differentiated appropriations

    4 102 000

    3 595 000

    3 368 167,21

    1 0 4

    Missions

     

     

     

    Non-differentiated appropriations

    284 000

    268 000

    240 000,—

    1 0 6

    Training

     

     

     

    Non-differentiated appropriations

    230 000

    328 000

    169 750,—

    1 0 9

    Provisional appropriation

     

     

     

    Non-differentiated appropriations

    295 000

    291 000

    0,—

     

    CHAPTER 1 0 — TOTAL

    29 288 800

    26 437 000

    22 384 219,83

     

    CHAPTER 1 2

    1 2 0

    Remunerations and other rights

    1 2 0 0

    Remunerations and allowances

     

     

     

    Non-differentiated appropriations

    171 242 190

    154 488 702

    136 698 070,20

    1 2 0 2

    Paid overtime

     

     

     

    Non-differentiated appropriations

    691 000

    659 000

    618 955,82

    1 2 0 4

    Rights connected with entering the service, transfer and leaving the service

     

     

     

    Non-differentiated appropriations

    3 484 000

    2 601 000

    3 139 220,46

     

    Article 1 2 0 — Total

    175 417 190

    157 748 702

    140 456 246,48

    1 2 2

    Allowances on early termination of service

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 2 9

    Provisional appropriation

     

     

     

    Non-differentiated appropriations

    1 847 000

    1 824 000

    0,—

     

    CHAPTER 1 2 — TOTAL

    177 264 190

    159 572 702

    140 456 246,48

     

    CHAPTER 1 4

    1 4 0

    Other staff and external persons

    1 4 0 0

    Other staff, interpreters and translators

     

     

     

    Non-differentiated appropriations

    2 836 900

    3 071 500

    2 220 934,91

    1 4 0 4

    Exchanges of officials, traineeships

     

     

     

    Non-differentiated appropriations

    704 000

    771 000

    354 147,60

    1 4 0 5

    Other supplementary services

     

     

     

    Non-differentiated appropriations

    367 000

    290 000

    471 140,19

    1 4 0 6

    Other supplementary services (translation service/interpretation)

     

     

     

    Non-differentiated appropriations

    8 896 000

    9 679 000

    6 610 928,—

     

    Article 1 4 0 — Total

    12 803 900

    13 811 500

    9 657 150,70

     

    CHAPTER 1 4 — TOTAL

    12 803 900

    13 811 500

    9 657 150,70

     

    CHAPTER 1 6

    1 6 1

    Expenditure connected with staff management

    1 6 1 0

    Miscellaneous expenditure for staff recruitment

     

     

     

    Non-differentiated appropriations

    270 000

    210 000

    186 761,93

    1 6 1 2

    Further training

     

     

     

    Non-differentiated appropriations

    1 088 000

    1 175 000

    1 098 152,74

     

    Article 1 6 1 — Total

    1 358 000

    1 385 000

    1 284 914,67

    1 6 2

    Missions

     

     

     

    Non-differentiated appropriations

    308 000

    342 000

    224 946,39

    1 6 3

    Expenditure on staff of the institution

    1 6 3 0

    Special assistance grants

     

     

     

    Non-differentiated appropriations

    3 000

    3 000

    0,—

    1 6 3 2

    Special aid for the handicapped

     

     

     

    Non-differentiated appropriations

    10 000

    10 000

    0,—

    1 6 3 4

    Social contacts between staff

     

     

     

    Non-differentiated appropriations

    114 200

    119 900

    123 200,—

    1 6 3 6

    Other welfare expenditure

     

     

     

    Non-differentiated appropriations

    13 900

    13 300

    8 200,—

     

    Article 1 6 3 — Total

    141 100

    146 200

    131 400,—

    1 6 5

    Activities concerning all persons working with the institution

    1 6 5 0

    Medical service

     

     

     

    Non-differentiated appropriations

    275 000

    171 000

    127 090,14

    1 6 5 2

    Restaurants and canteens

     

     

     

    Non-differentiated appropriations

    71 000

    68 000

    80 077,67

    1 6 5 4

    Early Childhood Centre and other crèches

     

     

     

    Non-differentiated appropriations

    1 231 000

    1 122 000

    1 049 000,—

     

    Article 1 6 5 — Total

    1 577 000

    1 361 000

    1 256 167,81

     

    CHAPTER 1 6 — TOTAL

    3 384 100

    3 234 200

    2 897 428,87

     

    Title 1 — Total

    222 740 990

    203 055 402

    175 395 045,88

    CHAPTER 1 0 —

    MEMBERS OF THE INSTITUTION

    CHAPTER 1 2 —

    OFFICIALS AND TEMPORARY STAFF

    CHAPTER 1 4 —

    OTHER STAFF AND EXTERNAL SERVICES

    CHAPTER 1 6 —

    OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    CHAPTER 1 0 —   MEMBERS OF THE INSTITUTION

    1 0 0   Remunerations and other rights

    1 0 0 0   Remunerations and allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    20 797 000

    19 378 000

    17 082 122,08

    Remarks

    Former Article 1 0 1

    Former items 1 0 0 0, 1 0 0 1, 1 0 0 2, 1 0 0 3 and 1 0 9 0

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and members of the Commission and of the President, Judges, Advocates-General and Registrar of the Court of Justice and of the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1), and in particular Articles 3, 4, 4a, 11 and 14 thereof.

    This appropriation is intended to cover, for the Members of the institution:

    basic salaries,

    residence allowances,

    family allowances, namely: the household allowance, the dependent child allowance and the education allowance,

    the entertainment and service allowances,

    the employer’s contribution (0,87 %) for insurance against accidents and occupational disease, the employer’s contribution (3,4 %) for sickness insurance,

    birth grants,

    the allowances provided for in the event of death of a Member of the institution,

    the weightings applicable to basic salaries, residence allowances, family allowances and transfers abroad of part of the remuneration of Members of the institution (application, by analogy, of Article 17 of Annex VII to the Staff Regulations of officials of the European Communities).

    1 0 0 2   Rights connected with entering the service, transfer and leaving the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 187 800

    1 193 000

    494 097,02

    Remarks

    Former items 1 0 5 0, 1 0 5 1 and 1 0 5 2

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and members of the Commission and of the President, Judges, Advocates-General and Registrar of the Court of Justice and of the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1), and in particular Article 5 thereof.

    This appropriation is intended to cover:

    the travel expenses of members of the institution (including family members) on entering the service or leaving the institutions,

    the installation and resettlement allowances payable to Members of the institution on taking up or leaving their appointments,

    the removal expenses payable to members of the institution on taking up or leaving their appointments.

    1 0 2   Temporary allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 393 000

    1 384 000

    1 030 083,52

    Remarks

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and members of the Commission and of the President, Judges, Advocates-General and Registrar of the Court of Justice and of the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1), and in particular Article 7 thereof.

    This appropriation is intended to cover temporary allowances, family allowances and weightings applicable for the country of residence of former Members of the institution.

    1 0 3   Pensions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    4 102 000

    3 595 000

    3 368 167,21

    Remarks

    Former items 1 0 3 0, 1 0 3 1 and 1 0 3 2

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and members of the Commission and of the President, Judges, Advocates-General and Registrar of the Court of Justice and of the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1), and in particular Articles 8, 9, 15 and 18 thereof.

    This appropriation is intended to cover:

    the retirement pensions of former Members of the institution together with the weighting applicable for their country of residence,

    invalidity pensions,

    survivors’ pensions for widows and/or orphans of former Members of the institution, together with the weightings applicable for their country of residence.

    1 0 4   Missions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    284 000

    268 000

    240 000,—

    Remarks

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and members of the Commission and of the President, Judges, Advocates-General and Registrar of the Court of Justice and of the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1), and in particular Article 6 thereof.

    This appropriation is intended to cover travel, daily subsistence allowances and ancillary or special costs incurred for missions.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    1 0 6   Training

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    230 000

    328 000

    169 750,—

    Remarks

    Former items 1 0 6 0 and 1 0 6 1

    Appropriations under this article are intended to cover language or other training courses for Members of the institution.

    1 0 9   Provisional appropriation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    295 000

    291 000

    0,—

    Remarks

    Former item 1 0 9 1

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    This appropriation is intended to cover the effect of any adjustments in remuneration and pensions which may be made by the Council in the course of the financial year.

    This appropriation is purely provisional and may only be used after its transfer to other headings in accordance with the Financial Regulation.

    CHAPTER 1 2 —   OFFICIALS AND TEMPORARY STAFF

    Remarks

    Former chapters 1 1 (part) and 1 2

    1 2 0   Remunerations and other rights

    1 2 0 0   Remunerations and allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    171 242 190

    154 488 702

    136 698 070,20

    Remarks

    Former items 1 1 0 0 to 1 1 0 3, 1 1 3 0 to 1 1 3 3, 1 1 4 0 to 1 1 4 5, 1 1 4 7, 1 1 4 9 and 1 1 9 0

    A standard abatement of 3,5 % has been applied to the appropriation.

    Staff Regulations of officials of the European Communities, and in particular Articles 62, 64, 65, 66, 67 and 68 thereof and Section I of Annex VII thereto, Article 69 thereof and Article 4 of Annex VII thereto, Article 18 of Annex XIII thereto, Articles 72 and 73 thereof and Article 15 of Annex VIII thereto, Articles 70, 74 and 75 thereof and Article 8 of Annex VII thereto, Article 34 thereof.

    Conditions of employment of other servants of the European Communities, and in particular Articles 28a, 42, 47 and 48 thereof.

    Rules on sickness insurance for officials of the European Communities, and in particular Article 23 thereof.

    Staff Regulations of the Coal and Steel Community, Article 95.

    This appropriation is intended to cover:

    the basic salaries of permanent and temporary officials,

    family allowances, comprising household allowances, dependent child allowances, education allowances, for permanent and temporary officials,

    expatriation and foreign residence allowances for permanent and temporary officials,

    secretarial allowances for officials in grade AST employed as shorthand typists, telex operators, typists, executive secretaries or principal secretaries,

    the employer’s contribution to sickness insurance (3,4 % of basic salary); the employee’s contribution is 1,7 % of the basic salary,

    the employer’s contribution to insurance against accidents and occupational diseases (0,87 % of the basic salary) and supplementary expenses resulting from the application of the Staff Regulations,

    unemployment insurance for temporary staff,

    payments to be made by the institution for the benefit of temporary staff in order to constitute or maintain pension rights for them in their country of origin.

    birth grants and the payment on the death of an official of his or her full salary up to the end of the third month after death together with the cost of transporting the body to the deceased’s place of origin,

    the payment of travel expenses for annual leave of officials (permanent or temporary), their spouses and their dependants, from their place of employment to their place of origin,

    dismissal compensation for probationary officials dismissed for manifest unsuitability, allowance on termination of contract by the institution for temporary servants, reimbursement of pension contributions for former auxiliary staff appointed as temporary agents or as officials,

    the impact of the weightings applicable to the remuneration of officials and auxiliary staff and to overtime,

    accommodation and transport allowances,

    fixed duty allowances,

    fixed local travel allowances,

    allowances for round-the-clock or shift duties or for standby duty at work and/or at home.

    1 2 0 2   Paid overtime

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    691 000

    659 000

    618 955,82

    Remarks

    Former Article 1 1 5

    Staff regulations of officials of the European Communities, and in particular Article 56 thereof and Annex VI thereto.

    This appropriation is intended to cover flat-rate allowances and hourly rates for overtime worked by officials and auxiliary staff and by local staff, which could not be compensated for, as envisaged, by time off.

    1 2 0 4   Rights connected with entering the service, transfer and leaving the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 484 000

    2 601 000

    3 139 220,46

    Remarks

    Former Items 1 1 8 1 to 1 1 8 4

    Staff Regulations of officials of the European Communities, and in particular Articles 20 and 71 thereof and Articles 5, 6, 7, 9 and 10 of Annex VII thereto.

    This appropriation is intended to cover:

    the travel expenses for staff (and their families) on taking up or leaving the service of the institution,

    installation and re-installation expenses for staff obliged to move after entering the service and resettle on leaving it,

    removal expenses incurred by staff obliged to move after entering the service and by staff who resettle on leaving it

    daily subsistence allowances of staff who show that they have been obliged to move after entering the service.

    1 2 2   Allowances on early termination of service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Article 1 2 3

    Former items 1 2 1 0, 1 2 1 5 and 1 2 9 0

    Staff Regulations of officials of the European Communities, and in particular Articles 41, 50, 64, 65 and 72 thereof and Annex IV thereto.

    Council Regulation (ECSC, EEC, Euratom) No 3518/85 of 12 December 1985 introducing special measures to terminate the service of officials of the European Communities as a result of the accession of Spain and Portugal (OJ L 335, 13.12.1985, p. 56), as amended by Regulation (EC, ECSC, Euratom) No 2458/98 (OJ L 307, 17.11.1998, p. 1).

    This appropriation is intended to cover:

    the allowances payable to officials assigned non-active status as a result of a reduction in the number of posts in the institution and occupying a post in grade AD 16, AD 15 or AD 14 and whose post is withdrawn in the interests of the service,

    the allowances payable to officials affected by measures terminating their employment in the interests of the service, in order to satisfy requirements connected with the accession to the Communities of new Member States,

    the employer’s contribution to sickness insurance for recipients of the allowances mentioned in that article,

    the weightings applicable to the allowances referred to in that article.

    1 2 9   Provisional appropriation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 847 000

    1 824 000

    0,—

    Remarks

    Former items 1 1 9 1 and 1 2 9 1

    Staff Regulations of officials of the European Communities, and in particular Article 65 thereof.

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    This appropriation is intended to cover any adjustments to remunerations and allowances which may be made by the Council in the course of the financial year.

    This appropriation is purely provisional and may only be used after its transfer to other headings in accordance with the Financial Regulation.

    CHAPTER 1 4 —   OTHER STAFF AND EXTERNAL SERVICES

    Remarks

    Former chapters 1 1 (part), 1 8 (part) and 2 9 (part)

    1 4 0   Other staff and external persons

    1 4 0 0   Other staff, interpreters and translators

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 836 900

    3 071 500

    2 220 934,91

    Remarks

    Former items 1 1 1 0 to 1 1 1 5

    Conditions of employment of other servants of the European Communities, and in particular Article 3 and Titles III and IV thereof, Article 4 and Title V thereof, Article 5 and Title VI thereof.

    This appropriation is intended to cover:

    the remuneration and the employer’s contribution to the social security scheme of auxiliary staff, of auxiliary interpreters, of local staff, of auxiliary translators,

    the fees and expenses of the special advisers, including the fees of the medical officer,

    expenditure incurred in having recourse to contract agents.

    1 4 0 4   Exchanges of officials, traineeships

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    704 000

    771 000

    354 147,60

    Remarks

    Former Article 2 9 8

    Former item 1 1 1 8

    This appropriation is intended to cover:

    expenditure incurred relating to secondment to the services of the Court of Justice of officials of Member States or of other national experts,

    grants to students participating temporarily in research and documentation of the institution.

    1 4 0 5   Other supplementary services

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    367 000

    290 000

    471 140,19

    Remarks

    Former item 1 8 9 5

    This appropriation is intended to cover expenses of agency staff where such work cannot be performed by the institution's staff.

    1 4 0 6   Other supplementary services (translation service/interpretation)

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    8 896 000

    9 679 000

    6 610 928,—

    Remarks

    Former items 1 8 3 0, 1 8 9 0, 1 8 9 1, 1 8 9 3, 1 8 9 4 and 1 8 9 6

    These appropriations are intended to cover:

    expenditure related to actions decided on by the Interinstitutional Committee on Translation and Interpretation with a view to promoting interinstitutional cooperation in the sphere of languages,

    payment for freelance interpreters from the Joint Interpreting and Conference Service,

    payment for contractual and occasional interpreters,

    payment for the services of contractual and ad hoc conference staff,

    supplementary services in connection with proofreading, in particular fees and insurance, travel, subsistence and mission costs for freelance proofreaders and ancillary administrative costs,

    expenditure for independent or agency translators or typing and other work done outside the institution for the translation department.

    CHAPTER 1 6 —   OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    Remarks

    Former Chapters 1 3, 1 4, 1 6 and 1 8 (part)

    1 6 1   Expenditure connected with staff management

    1 6 1 0   Miscellaneous expenditure for staff recruitment

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    270 000

    210 000

    186 761,93

    Remarks

    Former Article 1 8 8

    This appropriation is intended to cover the costs of advertising, inviting candidates and hiring rooms and equipment for the organisation of open competitions on an interinstitutional basis. In cases duly justified by functional needs and after consultation with the other institutions, some of these appropriations may be used for the organisation of competitions by the institution itself.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    1 6 1 2   Further training

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 088 000

    1 175 000

    1 098 152,74

    Remarks

    Former item 1 8 2 0

    Staff Regulations of officials of the European Communities, and in particular Article 24, third subparagraph thereof.

    This appropriation is intended to cover further professional training and retraining courses, including language courses, run on an interinstitutional basis.

    It also covers expenditure on educational and technical equipment.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    1 6 2   Missions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    308 000

    342 000

    224 946,39

    Remarks

    Former Article 1 3 0

    Staff Regulations of officials of the European Communities, and in particular Articles 11 to 13 of Annex VII thereto.

    This appropriation is intended to cover transport costs, payment of daily subsistence allowances on mission and ancillary or special costs connected with missions.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    1 6 3   Expenditure on staff of the institution

    1 6 3 0   Special assistance grants

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 000

    3 000

    0,—

    Remarks

    Former Article 1 6 0

    Staff Regulations of officials of the European Communities, and in particular Article 76 thereof.

    This appropriation is intended to cover assistance to be given to staff in particularly difficult circumstances.

    1 6 3 2   Special aid for the handicapped

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    10 000

    10 000

    0,—

    Remarks

    Former Article 1 6 4

    This appropriation is, in line with the political framework in their favour, intended to be used for the following handicapped persons:

    officials and temporary staff in active employment,

    spouses of officials and temporary staff in active employment,

    all dependent children within the meaning of the Staff Regulations of officials of the European Communities.

    It covers reimbursement, to the extent permitted by the budget and after national entitlements in the country of residence or the country of origin have been exhausted, of expenses (other than medical expenses) recognised as necessary, resulting from the handicap and supported by documentary evidence.

    1 6 3 4   Social contacts between staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    114 200

    119 900

    123 200,—

    Remarks

    Former Article 1 6 1

    Former items 1 8 6 0, 1 8 6 1

    This appropriation is intended to foster and provide financial support at institutional and interinstitutional levels for any action promoting social contact between staff of different nationalities, including subsidies for staff sports, cultural and other associations and to cover the Court’s contributions to the operating costs of an interinstitutional sports centre in Luxembourg.

    1 6 3 6   Other welfare expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    13 900

    13 300

    8 200,—

    Remarks

    Former Article 1 8 7

    This appropriation is intended to cover at interinstitutional level other assistance and subsidies given to staff and their families, for example for activities such as holiday camps, home help, legal advice, etc.

    1 6 5   Activities concerning all persons working with the institution

    1 6 5 0   Medical service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    275 000

    171 000

    127 090,14

    Remarks

    Former items 1 4 1 0 and 1 4 1 1

    Staff Regulations of officials of the European Communities, and in particular Article 59 thereof and Article 8 of Annex II thereto.

    This appropriation is intended to cover the expenses of the annual medical examination of all officials, including tests and further medical examinations requested in connection therewith, together with the operating costs of the medical centre.

    1 6 5 2   Restaurants and canteens

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    71 000

    68 000

    80 077,67

    Remarks

    Former items 1 8 4 0, 1 8 4 1 and 1 8 4 2

    This appropriation is intended to cover the acquisition and maintenance of equipment in the restaurant and cafeteria, together with part of their operating costs.

    This also covers the alteration and renewal costs for restaurant and canteen equipment.

    1 6 5 4   Early Childhood Centre and other crèches

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 231 000

    1 122 000

    1 049 000,—

    Remarks

    Former item 1 8 0 2

    This appropriation is intended to cover the Court’s contribution to the Early Childhood Centre and study centre in Luxembourg.

    TITLE 2

    BUILDINGS, FURNITURE, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 2 0

    2 0 0

    Buildings

    2 0 0 0

    Rent

     

     

     

    Non-differentiated appropriations

    12 175 000

    11 743 000

    10 298 891,44

    2 0 0 1

    Lease/purchase

     

     

     

    Non-differentiated appropriations

    8 500 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    8 500 000

    0,—

    2 0 0 3

    Acquisition of immovable property

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    2 0 0 7

    Fitting-out of premises

     

     

     

    Non-differentiated appropriations

    162 000

    173 000

    147 758,95

    2 0 0 8

    Expenditure incurred with a view to the construction of immovable property

     

     

     

    Non-differentiated appropriations

    1 158 000

    1 413 000

    1 031 547,50

     

    Article 2 0 0 — Total

    21 995 000

    21 829 000

    11 478 197,89

    2 0 2

    Buildings-related costs

    2 0 2 2

    Cleaning and maintenance

     

     

     

    Non-differentiated appropriations

    3 245 000

    2 771 000

    2 775 320,76

    2 0 2 4

    Consumption of energy

     

     

     

    Non-differentiated appropriations

    1 287 000

    1 358 000

    1 222 936,—

    2 0 2 6

    Security and surveillance of buildings

     

     

     

    Non-differentiated appropriations

    1 505 000

    1 497 000

    1 432 930,—

    2 0 2 8

    Insurance

     

     

     

    Non-differentiated appropriations

    30 000

    97 000

    106 064,—

    2 0 2 9

    Other expenditure on buildings

     

     

     

    Non-differentiated appropriations

    220 000

    199 000

    184 410,61

     

    Article 2 0 2 — Total

    6 287 000

    5 922 000

    5 721 661,37

     

    CHAPTER 2 0 — TOTAL

    28 282 000

    27 751 000

    17 199 859,26

     

    CHAPTER 2 1

    2 1 0

    Equipment, operating costs and data-processing and telecommunications services

    2 1 0 0

    Purchase, servicing and maintenance of equipment and software

     

     

     

    Non-differentiated appropriations

    1 795 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    3 053 000

    3 981 437,29

    2 1 0 2

    External services for operation, creation and servicing of software and systems

     

     

     

    Non-differentiated appropriations

    7 192 400

    6 204 000

    6 217 635,47

    2 1 0 3

    Telecommunications

     

     

     

    Non-differentiated appropriations

    926 000

    1 026 000

    1 018 000,—

     

    Article 2 1 0 — Total

    9 913 400

    10 283 000

    11 217 072,76

    2 1 2

    Furniture

     

     

     

    Non-differentiated appropriations

    863 000

    782 000

    662 952,90

    2 1 4

    Technical equipment and installations

     

     

     

    Non-differentiated appropriations

    533 000

    589 000

    712 468,67

    2 1 6

    Vehicles

     

     

     

    Non-differentiated appropriations

    1 218 000

    1 037 000

    809 853,24

     

    CHAPTER 2 1 — TOTAL

    12 527 400

    12 691 000

    13 402 347,57

     

    CHAPTER 2 3

    2 3 0

    Stationery, office supplies and various consumables

     

     

     

    Non-differentiated appropriations

    1 360 000

    1 682 000

    1 725 000,—

    2 3 1

    Financial charges

     

     

     

    Non-differentiated appropriations

    36 000

    45 000

    30 000,—

    2 3 2

    Legal expenses and damages

     

     

     

    Non-differentiated appropriations

    16 000

    18 000

    9 016,—

    2 3 6

    Postal charges

     

     

     

    Non-differentiated appropriations

    520 000

    480 000

    517 000,—

    2 3 8

    Other administrative operating expenditure

     

     

     

    Non-differentiated appropriations

    272 500

    340 500

    329 944,55

     

    CHAPTER 2 3 — TOTAL

    2 204 500

    2 565 500

    2 610 960,55

     

    CHAPTER 2 5

    2 5 2

    Entertainment and representation expenses

     

     

     

    Non-differentiated appropriations

    181 000

    195 800

    106 540,39

    2 5 4

    Meetings, congresses and conferences

     

     

     

    Non-differentiated appropriations

    346 100

    371 000

    369 164,49

    2 5 6

    Information and public events

     

     

     

    Non-differentiated appropriations

    194 800

    185 000

    156 703,38

    2 5 7

    Joint Interpreting and Conference Service and Joint Legal Information Service

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    CHAPTER 2 5 — TOTAL

    721 900

    751 800

    632 408,26

     

    CHAPTER 2 7

    2 7 0

    Limited consultations, studies and surveys

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    2 7 2

    Documentation and library expenditure

     

     

     

    Non-differentiated appropriations

    992 600

    905 900

    936 400,—

    2 7 4

    Production and distribution

    2 7 4 0

    Official Journal

     

     

     

    Non-differentiated appropriations

    747 000

    855 000

    909 000,—

    2 7 4 1

    General publications

     

     

     

    Non-differentiated appropriations

    1 467 000

    1 723 000

    2 184 933,84

     

    Article 2 7 4 — Total

    2 214 000

    2 578 000

    3 093 933,84

     

    CHAPTER 2 7 — TOTAL

    3 206 600

    3 483 900

    4 030 333,84

     

    Title 2 — Total

    46 942 400

    47 243 200

    37 875 909,48

    CHAPTER 2 0 —

    BUILDINGS AND ASSOCIATED COSTS

    CHAPTER 2 1 —

    DATA PROCESSING, EQUIPMENT AND MOVABLE PROPERTY: PURCHASE, HIRE AND SERVICING

    CHAPTER 2 3 —

    CURRENT ADMINISTRATIVE EXPENDITURE

    CHAPTER 2 5 —

    EXPENDITURE ON MEETINGS AND CONFERENCES

    CHAPTER 2 7 —

    INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISTRIBUTION

    CHAPTER 2 0 —   BUILDINGS AND ASSOCIATED COSTS

    2 0 0   Buildings

    2 0 0 0   Rent

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    12 175 000

    11 743 000

    10 298 891,44

    Remarks

    This appropriation is intended to cover rent for the premises occupied by the institution.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    2 0 0 1   Lease/purchase

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    8 500 000  (188)

    8 500 000

    0,—

    Remarks

    This appropriation is intended to cover payments in respect of buildings under lease/purchase contracts.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    2 0 0 3   Acquisition of immovable property

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Article 2 0 6

    2 0 0 7   Fitting-out of premises

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    162 000

    173 000

    147 758,95

    Remarks

    Former Article 2 0 4

    This appropriation is intended to cover various internal works, such as altering office partitions, including adjusting the relevant fitments.

    2 0 0 8   Expenditure incurred with a view to the construction of immovable property

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 158 000

    1 413 000

    1 031 547,50

    Remarks

    Former Article 2 0 8

    2 0 2   Buildings-related costs

    2 0 2 2   Cleaning and maintenance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 245 000

    2 771 000

    2 775 320,76

    Remarks

    Former Article 2 0 3

    This appropriation is intended to cover maintenance and cleaning costs, in accordance with the current contracts, relating to the premises and technical installations together with expenditure on the work and equipment necessary for the general maintenance (repainting, repairs, etc.) of the buildings occupied by the institution.

    Before renewing or concluding contracts, the institution will consult the other institutions on the terms each of them has obtained (price, currency chosen, indexing, duration, other clauses), with due regard to Article 63 of the Financial Regulation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    2 0 2 4   Consumption of energy

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 287 000

    1 358 000

    1 222 936,—

    Remarks

    Former Article 2 0 2

    This appropriation is intended to cover consumption of water, gas, electricity and heating fuel.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    2 0 2 6   Security and surveillance of buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 505 000

    1 497 000

    1 432 930,—

    Remarks

    Former Article 2 0 5

    This appropriation is intended to cover security costs for the buildings occupied by the institution.

    Before renewing or concluding contracts, the institution will consult the other institutions on the terms each of them has obtained (price, currency chosen, indexing, duration, other clauses), with due regard to Article 63 of the Financial Regulation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    2 0 2 8   Insurance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    30 000

    97 000

    106 064,—

    Remarks

    Former Article 2 0 1

    This appropriation is intended to cover insurance premiums payable under the insurance policies taken out for the premises occupied by the institution.

    2 0 2 9   Other expenditure on buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    220 000

    199 000

    184 410,61

    Remarks

    Former Article 2 0 9

    This appropriation is intended to cover other running costs not specially provided for in other articles of this chapter, in particular road charges, sanitation, refuse collection, road signs, etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    CHAPTER 2 1 —   DATA PROCESSING, EQUIPMENT AND MOVABLE PROPERTY: PURCHASE, HIRE AND SERVICING

    Remarks

    Former chapters 2 1, 2 2 (part) and 2 4 (part)

    2 1 0   Equipment, operating costs and data-processing and telecommunications services

    2 1 0 0   Purchase, servicing and maintenance of equipment and software

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 795 000  (189)

    3 053 000

    3 981 437,29

    Remarks

    Former Article 2 1 0

    This appropriation is intended to cover the acquisition, replacement, hire, repair and maintenance of all equipment (and installations) connected with data-processing, electronic office systems and telephony (including fax machines).

    2 1 0 2   External services for operation, creation and servicing of software and systems

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    7 192 400

    6 204 000

    6 217 635,47

    Remarks

    Former Article 2 1 1

    This appropriation is intended to cover computer analysis and programming.

    2 1 0 3   Telecommunications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    926 000

    1 026 000

    1 018 000,—

    Remarks

    Former Article 2 4 1

    This appropriation is intended to cover all expenditure in connection with telecommunications, such as subscriptions and communication costs (fixed and mobile).

    It also covers expenditure related to data-transmission networks.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 36 000.

    2 1 2   Furniture

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    863 000

    782 000

    662 952,90

    Remarks

    Former items 2 2 1 0, 2 2 1 1, 2 2 1 2 and 2 2 1 3

    This appropriation is intended to cover:

    the purchase of extra furniture,

    the replacement of the renewal of some of the furniture which is at least 15 years old and of the furniture which is not repairable,

    hire of furniture,

    furniture maintenance and repair.

    2 1 4   Technical equipment and installations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    533 000

    589 000

    712 468,67

    Remarks

    Former appropriations 2 2 0 0 to 2 2 0 3

    This appropriation is intended to cover:

    the purchase of technical equipment,

    replacement of technical equipment, in particular of audiovisual, archive, library and interpreting equipment, such as booths, headsets and switching units for simultaneous interpreting facilities and various tools for maintenance shops for buildings, and reproduction, dissemination and mailing equipment,

    hire of technical equipment and installations,

    maintenance and repair of the equipment referred to in this article.

    2 1 6   Vehicles

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 218 000

    1 037 000

    809 853,24

    Remarks

    Former items 2 2 3 0 to 2 2 3 3

    This appropriation is intended to cover:

    the acquisition of vehicles,

    the replacement of vehicles which have the most mileage in excess of 120 000 kilometres,

    the cost of renting and operating hired vehicles,

    expenditure on maintenance, repair, garaging, parking fees, motorway charges and insurance for the service fleet.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    CHAPTER 2 3 —   CURRENT ADMINISTRATIVE EXPENDITURE

    Remarks

    Former Chapters 2 3 (part) and 2 4 (part)

    2 3 0   Stationery, office supplies and various consumables

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 360 000

    1 682 000

    1 725 000,—

    Remarks

    This appropriation is intended to cover purchase of the following papers and supplies:

    xerox, photocopy and invoice paper,

    paper and office supplies,

    duplicating equipment supplies,

    supplies for the general circulation of information and for mailing,

    sound-recording supplies,

    printed matter and forms,

    computer and electronic office equipment supplies,

    other supplies and material not recorded in the inventory.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation, being, in particular, the proceeds of the sale of publications printed by the Court, is estimated at EUR 36 000.

    2 3 1   Financial charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    36 000

    45 000

    30 000,—

    Remarks

    Former items 2 3 2 0 and 2 3 2 9

    This appropriation is intended to cover banking costs (commission, agios, various charges) and other financial costs.

    Bank interest accruing to the institution is listed under revenue.

    2 3 2   Legal expenses and damages

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    16 000

    18 000

    9 016,—

    Remarks

    Former appropriations 2 3 3 and 2 3 4

    This appropriation is intended to cover, inter alia, the fees of lawyers assisting staff of the institution in litigation between the administration and officials or other members of staff, and damages.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    2 3 6   Postal charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    520 000

    480 000

    517 000,—

    Remarks

    Former Article 2 4 0

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    2 3 8   Other administrative operating expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    272 500

    340 500

    329 944,55

    Remarks

    Former items 2 3 5 0 to 2 3 5 5 and 2 3 5 9

    This appropriation is intended to cover:

    various kinds of insurance (in particular civil liability, theft, risks connected with word-processing equipment, electrical liability)

    the purchase, maintenance and cleaning of, in particular, judicial robes, uniforms for ushers and drivers, working clothes for reproduction and maintenance staff,

    miscellaneous expenditure for internal meetings,

    removal and handling costs for equipment, furniture and office supplies,

    operating expenditure incurred by service providers,

    other running costs not specially provided for in the preceding items.

    CHAPTER 2 5 —   EXPENDITURE ON MEETINGS AND CONFERENCES

    Remarks

    Former chapters 1 7, 2 3 (part), 2 5, 2 7 (part) and 2 9 (part)

    2 5 2   Entertainment and representation expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    181 000

    195 800

    106 540,39

    Remarks

    Former items 1 7 0 0 and 1 7 0 1

    This appropriation is intended to cover expenditure connected with the institution’s duties as host and representative, and entertainment and representation expenses for members of staff.

    2 5 4   Meetings, congresses and conferences

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    346 100

    371 000

    369 164,49

    Remarks

    Former Articles 2 5 0 and 2 5 5

    This appropriation is intended to cover principally the organisation, with the collaboration of the Justice Ministries, of seminars and other training programmes at the seat of the institution for members of the judiciary and the legal profession from the Member States.

    Meetings with members of the national higher courts and with specialists in Community law are necessary in order to facilitate the development of the case-law of the institution concurrently with that of the national courts in matters connected with Community law.

    This appropriation is also intended to cover travel and subsistence expenses for participants and other organisation costs.

    2 5 6   Information and public events

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    194 800

    185 000

    156 703,38

    Remarks

    Former Articles 2 7 2 and 2 9 9

    This appropriation is intended to cover the purchase and publication of works of general interest on Community law, other expenditure on the dissemination of information and photographic costs, and contributions made for visits to the institution.

    2 5 7   Joint Interpreting and Conference Service and Joint Legal Information Service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Article 2 3 9 1 and 2 3 9 3

    This appropriation is intended to cover contributions which the Commission may ask the institutions to make towards the costs of the legal information service (augmenting and distributing the interinstitutional database).

    CHAPTER 2 7 —   INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISTRIBUTION

    Remarks

    Former Chapters 2 2 (part), 2 6 and 2 7 (part)

    2 7 0   Limited consultations, studies and surveys

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Article 2 6 0

    2 7 2   Documentation and library expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    992 600

    905 900

    936 400,—

    Remarks

    Former items 2 2 5 0 to 2 2 5 5

    This appropriation is intended to cover:

    the acquisition of books, documents and other publications and updates for existing volumes,

    entry and purchase of computerised legal data,

    special equipment for the library,

    subscriptions to newspapers, non-specialised periodicals and various bulletins,

    subscriptions to news agencies,

    binding and upkeep of library books,

    access charges for certain legal data-bases.

    2 7 4   Production and distribution

    2 7 4 0   Official Journal

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    747 000

    855 000

    909 000,—

    Remarks

    Former Article 2 7 0

    This appropriation is intended to cover publication of material in the Official Journal of the European Union.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 120 000.

    2 7 4 1   General publications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 467 000

    1 723 000

    2 184 933,84

    Remarks

    Former appropriations 2 7 1 0 and 2 7 1 9

    This appropriation is intended to cover, in particular, printing and distribution costs for the reports of cases before the Court, including cases before the Court of First Instance, together with the source index of Community case-law.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 431 000.

    This appropriation is also intended to cover publication costs for the annual report of the Court and other brochures produced by the Court for visitors.

    TITLE 3

    EXPENDITURE RESULTING FROM SPECIAL FUNCTIONS CARRIED OUT BY THE INSTITUTION

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 3 7

    3 7 1

    Special expenditure of the Court of Justice

    3 7 1 0

    Court expenses

     

     

     

    Non-differentiated appropriations

    36 000

    40 000

    2 990,05

    3 7 1 1

    Arbitration Committee provided for in Article 18 of the EAEC Treaty

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    Article 3 7 1 — Total

    36 000

    40 000

    2 990,05

     

    CHAPTER 3 7 — TOTAL

    36 000

    40 000

    2 990,05

     

    Title 3 — Total

    36 000

    40 000

    2 990,05

    CHAPTER 3 7 —

    EXPENDITURE RELATING TO CERTAIN INSTITUTIONS AND BODIES

    CHAPTER 3 7 —   EXPENDITURE RELATING TO CERTAIN INSTITUTIONS AND BODIES

    3 7 1   Special expenditure of the Court of Justice

    3 7 1 0   Court expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    36 000

    40 000

    2 990,05

    Remarks

    This appropriation is to ensure the proper administration of justice in all cases of legal aid and for all expenses of witnesses and expert witnesses, of the cost of inspection of places or things involved in proceedings and of letters rogatory, legal representation and other costs which the institution may have to bear.

    3 7 1 1   Arbitration Committee provided for in Article 18 of the EAEC Treaty

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    TITLE 10

    OTHER EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 10 0

    2 500 000

    p.m.

    0,—

     

    CHAPTER 10 0 — TOTAL

    2 500 000

    p.m.

    0,—

     

    CHAPTER 10 1

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 1 — TOTAL

    p.m.

    p.m.

    0,—

     

    Title 10 — Total

    2 500 000

    p.m.

    0,—

     

    GRAND TOTAL

    272 219 390

    250 338 602

    213 273 945,41

    CHAPTER 10 0 —

    PROVISIONAL APPROPRIATIONS

    CHAPTER 10 1 —

    CONTINGENCY RESERVE

    CHAPTER 10 0 —   PROVISIONAL APPROPRIATIONS

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 500 000

    p.m.

    0,—

    Remarks

    Item

    2 0 0 1

    Lease/purchase

    1 500 000

    Item

    2 1 0 0

    Purchase, servicing and maintenance of equipment and software

    1 000 000

     

     

    Total

    2 500 000

    CHAPTER 10 1 —   CONTINGENCY RESERVE

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    SECTION V

    COURT OF AUDITORS

    REVENUE

    Contribution of the European Communities to the financing of the expenditure of the Court of Auditors for the financial year 2007

    Heading

    Amount

    Expenditure

    121 080 000

    Own resources

    –16 953 000

    Contribution due

    104 127 000

    OWN RESOURCES

    TITLE 4

    REVENUE ACCRUING FROM PERSONS WORKING FOR THE INSTITUTIONS AND OTHER COMMUNITY BODIES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 4 0

    4 0 0

    Proceeds of the taxation of salaries, wages and allowances of Members of the institution, officials and other servants

    9 195 000

    7 876 000

    7 325 026,24

    4 0 3

    Proceeds of the temporary contribution from the salaries of Members of the institutions, officials and other servants in active employment

    p.m.

    p.m.

    0,—

    4 0 4

    Proceeds from the special levy on the salaries of Members of the institutions, officials and other servants in active employment

    830 000

    830 000

    562 635,70

     

    CHAPTER 4 0 — TOTAL

    10 025 000

    8 706 000

    7 887 661,94

     

    CHAPTER 4 1

    4 1 0

    Staff contribution to the pension scheme

    6 136 000

    5 180 000

    4 846 183,06

    4 1 1

    Transfer or repayment of pension rights by staff

    500 000

    500 000

    2 259 873,34

    4 1 2

    Contribution to the pension scheme by officials and temporary staff on leave on personal grounds

    p.m.

    p.m.

    0,—

     

    CHAPTER 4 1 — TOTAL

    6 636 000

    5 680 000

    7 106 056,40

     

    Title 4 — Total

    16 661 000

    14 386 000

    14 993 718,34

    CHAPTER 4 0 —

    MISCELLANEOUS TAXES AND DEDUCTIONS

    CHAPTER 4 1 —

    CONTRIBUTION TO PENSION SCHEMES

    CHAPTER 4 0 —   MISCELLANEOUS TAXES AND DEDUCTIONS

    4 0 0   Proceeds of the taxation of salaries, wages and allowances of Members of the institution, officials and other servants

    Financial year 2007

    Financial year 2006

    Financial year 2005

    9 195 000

    7 876 000

    7 325 026,24

    Remarks

    Protocol on the privileges and immunities of the European Communities, and in particular Article 13 thereof.

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and members of the Commission and of the President, Judges, Advocates-General and Registrar of the Court of Justice and of the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    Council Regulation (EEC, Euratom, ECSC) No 260/68 of 29 February 1968 laying down the conditions and procedure for applying the tax for the benefit of the European Communities (OJ L 56, 4.3.1968, p. 8), as last amended by Regulation (EC, Euratom) No 1750/2002 (OJ L 264, 2.10.2002, p. 15).

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26).

    4 0 3   Proceeds of the temporary contribution from the salaries of Members of the institutions, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and members of the Commission and of the President, Judges, Advocates-General and Registrar of the Court of Justice and of the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26).

    Council Regulation (ECSC, EEC, Euratom) No 3831/91 of 19 December 1991 amending the Staff Regulations of Officials and the Conditions of employment of other servants of the European Communities with a view to introducing a temporary contribution (OJ L 361, 31.12.1991, p. 7).

    4 0 4   Proceeds from the special levy on the salaries of Members of the institutions, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    830 000

    830 000

    562 635,70

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 66a thereof.

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26).

    CHAPTER 4 1 —   CONTRIBUTION TO PENSION SCHEMES

    4 1 0   Staff contribution to the pension scheme

    Financial year 2007

    Financial year 2006

    Financial year 2005

    6 136 000

    5 180 000

    4 846 183,06

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 83(2) thereof.

    4 1 1   Transfer or repayment of pension rights by staff

    Financial year 2007

    Financial year 2006

    Financial year 2005

    500 000

    500 000

    2 259 873,34

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Articles 4, 11(2) and (3) and 48 of Annex VIII thereto.

    4 1 2   Contribution to the pension scheme by officials and temporary staff on leave on personal grounds

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    TITLE 5

    REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTION

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 5 0

    5 0 0

    Proceeds from the sale of movable property (supplies)

    5 0 0 0

    Proceeds from the sale of vehicles — Assigned revenue

    42 000

    p.m.

    0,—

    5 0 0 1

    Proceeds from the sale of other movable property — Assigned revenue (ex Article 5 0 0)

    p.m.

    p.m.

    81 167,—

     

    Article 5 0 0 — Total

    42 000

    p.m.

    81 167,—

    5 0 2

    Proceeds from the sale of publications, printed works and films — Assigned revenue

    150 000

    150 000

    126 309,06

     

    CHAPTER 5 0 — TOTAL

    192 000

    150 000

    207 476,06

     

    CHAPTER 5 1

    5 1 1

    Proceeds from letting and subletting immovable property and reimbursement of charges connected with lettings

    5 1 1 0

    Proceeds from letting and subletting immovable property — Assigned revenue

    p.m.

    p.m.

    0,—

    5 1 1 1

    Reimbursement of charges connected with lettings — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 5 1 1 — Total

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 1 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 2

    5 2 0

    Revenue from investments or loans granted, bank and other interest on the institution's accounts

    p.m.

    p.m.

    108 368,22

    5 2 2

    Interest yielded by prefinancing

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 2 — TOTAL

    p.m.

    p.m.

    108 368,22

     

    CHAPTER 5 5

    5 5 0

    Proceeds from the supply of services and works for other institutions or bodies, including refunds by other institutions or bodies of mission allowances paid on their behalf — Assigned revenue

    p.m.

    p.m.

    0,—

    5 5 1

    Revenue from third parties in respect of services or work supplied at their request — Assigned revenue

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 5 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 7

    5 7 0

    Revenue arising from the repayment of amounts wrongly paid — Assigned revenue

    p.m.

    p.m.

    88 690,08

    5 7 1

    Revenue earmarked for a specific purpose, such as income from foundations, subsidies, gifts and bequests, including the earmarked revenue specific to each institution — Assigned revenue

    p.m.

    p.m.

    0,—

    5 7 3

    Other contributions and refunds connected with the administrative operation of the institutions — Assigned revenue

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 7 — TOTAL

    p.m.

    p.m.

    88 690,08

     

    CHAPTER 5 8

    5 8 0

    Revenue accruing from rental allowances — Assigned revenue

    p.m.

    p.m.

    0,—

    5 8 1

    Revenue from insurance payments received — Assigned revenue

    p.m.

    p.m.

    14 593,44

     

    CHAPTER 5 8 — TOTAL

    p.m.

    p.m.

    14 593,44

     

    CHAPTER 5 9

    5 9 0

    Other revenue from administrative operations

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 9 — TOTAL

    p.m.

    p.m.

    0,—

     

    Title 5 — Total

    192 000

    150 000

    419 127,80

    CHAPTER 5 0 —

    PROCEEDS FROM THE SALE OF MOVABLE PROPERTY (SUPPLIES) AND IMMOVABLE PROPERTY

    CHAPTER 5 1 —

    PROCEEDS FROM LETTING

    CHAPTER 5 2 —

    REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST

    CHAPTER 5 5 —

    REVENUE FROM THE SUPPLY OF SERVICES AND WORKS

    CHAPTER 5 7 —

    OTHER CONTRIBUTIONS AND REFUNDS CONNECTED WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS

    CHAPTER 5 8 —

    MISCELLANEOUS COMPENSATION

    CHAPTER 5 9 —

    OTHER REVENUE FROM ADMINISTRATIVE OPERATIONS

    CHAPTER 5 0 —   PROCEEDS FROM THE SALE OF MOVABLE PROPERTY (SUPPLIES) AND IMMOVABLE PROPERTY

    5 0 0   Proceeds from the sale of movable property (supplies)

    5 0 0 0   Proceeds from the sale of vehicles — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    42 000

    p.m.

    0,—

    Remarks

    This item is intended to record revenue accruing from the sale or part exchange of vehicles belonging to the institutions.

    In accordance with Article 18(1)(e) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 0 1   Proceeds from the sale of other movable property — Assigned revenue (ex Article 5 0 0)

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    81 167,—

    Remarks

    This item is intended to record revenue accruing from the sale or part exchange of movable property other than vehicles belonging to the institutions.

    In accordance with Article 18(1)(e) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 2   Proceeds from the sale of publications, printed works and films — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    150 000

    150 000

    126 309,06

    Remarks

    In accordance with Article 18(1)(j) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    This article also contains revenue from the sale of such products in electronic form.

    CHAPTER 5 1 —   PROCEEDS FROM LETTING

    5 1 1   Proceeds from letting and subletting immovable property and reimbursement of charges connected with lettings

    5 1 1 0   Proceeds from letting and subletting immovable property — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18(1)(e) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 1 1 1   Reimbursement of charges connected with lettings — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18(1)(e) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 2 —   REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST

    5 2 0   Revenue from investments or loans granted, bank and other interest on the institution's accounts

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    108 368,22

    Remarks

    This article is intended to record revenue from investments or loans granted, bank and other interest on the institution's accounts.

    5 2 2   Interest yielded by prefinancing

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    This article is intended to record revenue from investments or loans granted, bank and other interest on the institutions’ accounts.

    CHAPTER 5 5 —   REVENUE FROM THE SUPPLY OF SERVICES AND WORKS

    5 5 0   Proceeds from the supply of services and works for other institutions or bodies, including refunds by other institutions or bodies of mission allowances paid on their behalf — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18(1)(g) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 5 1   Revenue from third parties in respect of services or work supplied at their request — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18(1)(e) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 7 —   OTHER CONTRIBUTIONS AND REFUNDS CONNECTED WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS

    5 7 0   Revenue arising from the repayment of amounts wrongly paid — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    88 690,08

    Remarks

    In accordance with Article 18(1)(f) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 7 1   Revenue earmarked for a specific purpose, such as income from foundations, subsidies, gifts and bequests, including the earmarked revenue specific to each institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18(1)(c) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 7 3   Other contributions and refunds connected with the administrative operation of the institutions — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18(1)(e) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 8 —   MISCELLANEOUS COMPENSATION

    5 8 0   Revenue accruing from rental allowances — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18(1)(i) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 8 1   Revenue from insurance payments received — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    14 593,44

    Remarks

    In accordance with Article 18(1)(h) of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 9 —   OTHER REVENUE FROM ADMINISTRATIVE OPERATIONS

    5 9 0   Other revenue from administrative operations

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    This article is intended to record other revenue from administrative operations.

    TITLE 9

    MISCELLANEOUS REVENUE

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 9 0

    9 0 0

    Miscellaneous revenue

    100 000

    100 000

    1 932 373,92

     

    CHAPTER 9 0 — TOTAL

    100 000

    100 000

    1 932 373,92

     

    Title 9 — Total

    100 000

    100 000

    1 932 373,92

     

    GRAND TOTAL

    16 953 000

    14 636 000

    17 345 220,06

    CHAPTER 9 0 —

    MISCELLANEOUS REVENUE

    CHAPTER 9 0 —   MISCELLANEOUS REVENUE

    9 0 0   Miscellaneous revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    100 000

    100 000

    1 932 373,92

    Remarks

    This article is intended to record miscellaneous revenue.

    EXPENDITURE

    General summary of appropriations (2007 and 2006) and outturn (2005)

    Title

    Chapter

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1

    EXPENDITURE RELATING TO THE INSTITUTION

    1 0

    MEMBERS OF THE INSTITUTION

    11 270 000

    11 350 000

    9 148 475,29

    1 2

    OFFICIALS AND TEMPORARY STAFF

    82 653 000

    78 731 991

    63 989 552,07

    1 4

    OTHER STAFF AND EXTERNAL SERVICES

    4 014 000

    3 425 500

    4 199 009,10

    1 6

    OTHER EXPENDITURE RELATING TO PERSONS WORKING FOR THE INSTITUTION

    4 986 000

    4 995 000

    4 228 611,02

     

    Title 1 — Total

    102 923 000

    98 502 491

    81 565 647,48

    2

    BUILDINGS, MOVABLE PROPERTY, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    2 0

    BUILDINGS AND ASSOCIATED COSTS

    8 126 000

    6 229 000

    5 084 089,—

    2 1

    DATA PROCESSING, EQUIPMENT AND MOVABLE PROPERTY: PURCHASE, HIRE AND MAINTENANCE

    6 914 000

    5 541 000

    4 337 489,81

    2 3

    CURRENT ADMINISTRATIVE EXPENDITURE

    435 000

    435 000

    444 484,63

    2 5

    MEETINGS AND CONFERENCES

    844 000

    825 000

    704 536,69

    2 7

    INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISTRIBUTION

    1 838 000

    1 664 000

    1 292 604,72

     

    Title 2 — Total

    18 157 000

    14 694 000

    11 863 204,85

    10

    OTHER EXPENDITURE

    10 0

    PROVISIONAL APPROPRIATIONS

    p.m.

    p.m.

    p.m.

    10 1

    CONTINGENCY RESERVE

    p.m.

    p.m.

    p.m.

     

    Title 10 — Total

    p.m.

    p.m.

    p.m.

     

    GRAND TOTAL

    121 080 000

    113 196 491

    93 428 852,33

    TITLE 1

    EXPENDITURE RELATING TO THE INSTITUTION

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 1 0

    1 0 0

    Remuneration and other entitlements

    1 0 0 0

    Remuneration, allowances and pensions

     

     

     

    Non-differentiated appropriations

    7 710 000

    7 194 000

    6 955 972,95

    1 0 0 2

    Entitlements on entering and leaving the service

     

     

     

    Non-differentiated appropriations

    343 000

    659 000

    0,—

     

    Article 1 0 0 — Total

    8 053 000

    7 853 000

    6 955 972,95

    1 0 2

    Temporary allowances

     

     

     

    Non-differentiated appropriations

    650 000

    838 000

    0,—

    1 0 3

    Pensions

    1 0 3 0

    Retirement pensions

     

     

     

    Non-differentiated appropriations

    1 728 000

    1 845 000

    1 676 930,34

    1 0 3 1

    Invalidity pensions

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 0 3 2

    Survivors’ pensions

     

     

     

    Non-differentiated appropriations

    315 000

    308 000

    293 112,52

     

    Article 1 0 3 — Total

    2 043 000

    2 153 000

    1 970 042,86

    1 0 4

    Mission expenses, local travel costs and incidental expenditure

     

     

     

    Non-differentiated appropriations

    363 000

    336 000

    190 536,46

    1 0 6

    Vocational training and language courses for Members of the institution

     

     

     

    Non-differentiated appropriations

    50 000

    48 000

    31 923,02

    1 0 9

    Provisional appropriation

     

     

     

    Non-differentiated appropriations

    111 000

    122 000

    0,—

     

    CHAPTER 1 0 — TOTAL

    11 270 000

    11 350 000

    9 148 475,29

     

    CHAPTER 1 2

    1 2 0

    Remuneration and other entitlements

    1 2 0 0

    Remuneration and allowances

     

     

     

    Non-differentiated appropriations

    78 624 000

    74 427 000

    62 128 055,96

    1 2 0 2

    Paid overtime

     

     

     

    Non-differentiated appropriations

    490 000

    507 000

    608 633,23

    1 2 0 4

    Entitlements on entering and leaving the service and on transfer

     

     

     

    Non-differentiated appropriations

    2 714 000

    2 927 000

    1 252 862,88

     

    Article 1 2 0 — Total

    81 828 000

    77 861 000

    63 989 552,07

    1 2 2

    Allowances following early termination of service

    1 2 2 0

    Allowances for staff retired in the interests of the service (Articles 41 and 50 of the Staff Regulations)

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 2 2 2

    Allowances for staff whose service is terminated and special retirement scheme for officials and temporary staff

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    Article 1 2 2 — Total

    p.m.

    p.m.

    0,—

    1 2 9

    Provisional appropriation

     

     

     

    Non-differentiated appropriations

    825 000

    870 991

    0,—

     

    CHAPTER 1 2 — TOTAL

    82 653 000

    78 731 991

    63 989 552,07

     

    CHAPTER 1 4

    1 4 0

    Other staff and external persons

    1 4 0 0

    Other staff

     

     

     

    Non-differentiated appropriations

    2 347 000

    1 816 000

    2 851 548,67

    1 4 0 4

    In-service training and staff exchanges

     

     

     

    Non-differentiated appropriations

    1 170 000

    1 135 000

    818 317,22

    1 4 0 5

    Other external services

     

     

     

    Non-differentiated appropriations

    182 000

    188 000

    173 091,94

     

    Article 1 4 0 — Total

    3 699 000

    3 139 000

    3 842 957,83

    1 4 2

    External services in the linguistic field

     

     

     

    Non-differentiated appropriations

    291 000

    286 500

    356 051,27

    1 4 9

    Provisional appropriation

     

     

     

    Non-differentiated appropriations

    24 000

    p.m.

    0,—

     

    CHAPTER 1 4 — TOTAL

    4 014 000

    3 425 500

    4 199 009,10

     

    CHAPTER 1 6

    1 6 1

    Expenditure relating to staff management

    1 6 1 0

    Miscellaneous expenditure on recruitment

     

     

     

    Non-differentiated appropriations

    191 000

    191 000

    226 000,—

    1 6 1 2

    Further training for staff

     

     

     

    Non-differentiated appropriations

    800 000

    700 000

    681 964,65

     

    Article 1 6 1 — Total

    991 000

    891 000

    907 964,65

    1 6 2

    Mission expenses of staff

     

     

     

    Non-differentiated appropriations

    3 000 000

    3 100 000

    2 458 949,95

    1 6 3

    Assistance for staff of the institution

    1 6 3 0

    Social welfare

     

     

     

    Non-differentiated appropriations

    48 000

    48 000

    50 000,—

    1 6 3 2

    Social contacts between Members of staff and other welfare expenditure

     

     

     

    Non-differentiated appropriations

    47 000

    46 000

    44 169,77

     

    Article 1 6 3 — Total

    95 000

    94 000

    94 169,77

    1 6 5

    Activities relating to all persons working for the institution

    1 6 5 0

    Medical service

     

     

     

    Non-differentiated appropriations

    120 000

    98 000

    54 469,01

    1 6 5 2

    Restaurants and canteens

     

     

     

    Non-differentiated appropriations

    62 000

    63 000

    52 869,10

    1 6 5 4

    Early Childhood Centre and study centre in Luxembourg

     

     

     

    Non-differentiated appropriations

    718 000

    749 000

    660 188,54

     

    Article 1 6 5 — Total

    900 000

    910 000

    767 526,65

     

    CHAPTER 1 6 — TOTAL

    4 986 000

    4 995 000

    4 228 611,02

     

    Title 1 — Total

    102 923 000

    98 502 491

    81 565 647,48

    CHAPTER 1 0 —

    MEMBERS OF THE INSTITUTION

    CHAPTER 1 2 —

    OFFICIALS AND TEMPORARY STAFF

    CHAPTER 1 4 —

    OTHER STAFF AND EXTERNAL SERVICES

    CHAPTER 1 6 —

    OTHER EXPENDITURE RELATING TO PERSONS WORKING FOR THE INSTITUTION

    CHAPTER 1 0 —   MEMBERS OF THE INSTITUTION

    1 0 0   Remuneration and other entitlements

    1 0 0 0   Remuneration, allowances and pensions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    7 710 000

    7 194 000

    6 955 972,95

    Remarks

    Former Items 1 0 0 0, 1 0 0 1, 1 0 0 2, 1 0 0 3 and 1 0 9 0 and former Article 1 0 1

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26), and in particular Article 2 thereof.

    This appropriation is intended to cover the salaries and allowances of Members of the Court of Auditors as well as the effect of the weightings applicable to remuneration and to transfers of part of the remuneration to a Member State other than that of the place of employment.

    1 0 0 2   Entitlements on entering and leaving the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    343 000

    659 000

    0,—

    Remarks

    Former Items 1 0 5 0, 1 0 5 1 and 1 0 5 2

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26), and in particular Article 6 thereof.

    This appropriation is intended to cover:

    travel expenses due to Members of the Court of Auditors on entering or leaving the service,

    installation and resettlement allowances due to Members of the Court of Auditors on entering or leaving the service,

    removal expenses due to Members of the Court of Auditors on entering or leaving the service.

    1 0 2   Temporary allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    650 000

    838 000

    0,—

    Remarks

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26), and in particular Article 8 thereof.

    This appropriation is intended to cover temporary allowances and family allowances for Members of the Court of Auditors after termination of service.

    1 0 3   Pensions

    1 0 3 0   Retirement pensions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 728 000

    1 845 000

    1 676 930,34

    Remarks

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26), and in particular Articles 9 and 10 thereof.

    This appropriation is intended to cover the retirement pensions of former Members of the Court of Auditors.

    1 0 3 1   Invalidity pensions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26), and in particular Article 11 thereof.

    1 0 3 2   Survivors’ pensions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    315 000

    308 000

    293 112,52

    Remarks

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26), and in particular Article 16 thereof.

    This appropriation is intended to meet the cost of survivors’ pensions paid to widows and orphans of former Members of the Court of Auditors.

    1 0 4   Mission expenses, local travel costs and incidental expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    363 000

    336 000

    190 536,46

    Remarks

    Council Regulation (EEC, Euratom, ECSC) No 2290/77 of 18 October 1977 determining the emoluments of the Members of the Court of Auditors (OJ L 268, 20.10.1977, p. 1), as last amended by Regulation (EC, Euratom) No 1293/2004 (OJ L 243, 15.7.2004, p. 26), and in particular Article 6 thereof.

    This appropriation is intended to cover travel expenses, subsistence allowances and additional or exceptional expenditure incurred on mission.

    1 0 6   Vocational training and language courses for Members of the institution

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    50 000

    48 000

    31 923,02

    Remarks

    This appropriation is intended to cover the costs of participation in language courses and other vocational training courses by Members of the Court of Auditors.

    1 0 9   Provisional appropriation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    111 000

    122 000

    0,—

    Remarks

    Former Item 1 0 9 1

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    This appropriation is intended to cover the effect of any salary and pension adjustments which may be made by the Council in the course of the financial year.

    It is purely provisional and may only be used after its transfer to other headings in accordance with the Financial Regulation.

    CHAPTER 1 2 —   OFFICIALS AND TEMPORARY STAFF

    Remarks

    Former Chapter 1 1 (in part)

    1 2 0   Remuneration and other entitlements

    Remarks

    New article

    1 2 0 0   Remuneration and allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    78 624 000

    74 427 000

    62 128 055,96

    Remarks

    New item

    Former Items 1 1 0 0, 1 1 0 1, 1 1 0 2, 1 1 0 3, 1 1 3 0, 1 1 3 1, 1 1 3 2, 1 1 3 3, 1 1 4 0, 1 1 4 1,1 1 4 3, 1 1 4 4, 1 1 4 9 and 1 1 9 0

    A standard abatement of 3,65 % has been applied to the appropriation.

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is mainly intended to cover, for officials and temporary staff holding a post provided for in the establishment plan:

    salaries and salary-related allowances,

    insurance against sickness, accident and occupational disease and other social security contributions,

    the institution's sickness insurance contributions,

    miscellaneous allowances and grants,

    the payment of travel costs of officials and temporary staff, and their spouses and dependants, from the place of employment to the place of origin,

    the effect of the weightings applicable to remuneration and to transfers of part of the remuneration to a Member State other than that of the place of employment,

    the provision of unemployment benefit for temporary staff and payments by the institution to constitute or maintain pension rights for temporary staff in their country of origin,

    the allowance granted to probationer officials dismissed for reasons of manifest unsuitability,

    the compensation paid in the event of cancellation by the institution of the contract of a temporary member of staff.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    1 2 0 2   Paid overtime

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    490 000

    507 000

    608 633,23

    Remarks

    New item

    Former Article 1 1 5

    Staff Regulations of officials of the European Communities, and in particular Article 56 thereof and Annex VI thereto.

    This appropriation is intended to cover overtime worked in the conditions laid down by the above-mentioned provisions.

    1 2 0 4   Entitlements on entering and leaving the service and on transfer

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 714 000

    2 927 000

    1 252 862,88

    Remarks

    New item

    Former Items 1 1 8 1, 1 1 8 2, 1 1 8 3 and 1 1 8 4

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    the travel expenses due to officials and temporary staff (including their families) on taking up their duties or leaving the institution or on transfer, involving a change in place of employment,

    the installation/resettlement allowances and removal expenses due to officials and temporary staff obliged to change their place of residence on taking up their duties or on their assignment to a new place of employment and upon finally leaving the institution and resettling elsewhere,

    the daily subsistence allowances for officials and temporary staff who furnish evidence that they must change their place of residence on taking up their duties or on their assignment to a new place of employment,

    the difference between the contributions paid by auxiliary staff to a pension scheme of a Member State and those due to the Community scheme in the event of a contract amendment.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    1 2 2   Allowances following early termination of service

    Remarks

    New article

    1 2 2 0   Allowances for staff retired in the interests of the service (Articles 41 and 50 of the Staff Regulations)

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    New item

    Former item 1 2 1 0

    Staff Regulations of officials of the European Communities, and in particular Articles 41 and 50 thereof and Annex IV thereto.

    This appropriation is intended to cover allowances to officials assigned non-active status following a reduction in the number of posts in the institution, or to officials holding a senior executive post who are retired in the interests of the service.

    1 2 2 2   Allowances for staff whose service is terminated and special retirement scheme for officials and temporary staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    New item

    Former Article 1 2 3 and former items 1 2 1 5 and 1 2 9 0

    Staff Regulations of officials of the European Communities, and in particular Articles 64 and 72 thereof;

    This appropriation is intended to cover:

    the allowances to be paid in accordance with the Staff Regulations or other Regulations,

    the employer's contribution towards sickness insurance for recipients of allowances,

    the effect of weightings applicable to various allowances.

    1 2 9   Provisional appropriation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    825 000

    870 991

    0,—

    Remarks

    Former items 1 1 9 1 (in part) and 1 2 9 1

    Staff Regulations of officials of the European Communities, and in particular Articles 65 and 65a thereof and Annex XI thereto.

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    This appropriation is intended to cover the cost of any adjustments to remuneration approved by the Council during the financial year.

    It is purely provisional and may only be used after its transfer to other articles or items of this chapter in accordance with the Financial Regulation.

    CHAPTER 1 4 —   OTHER STAFF AND EXTERNAL SERVICES

    Remarks

    Former Chapters 1 1 (in part), 1 5 and 1 8 (in part)

    1 4 0   Other staff and external persons

    Remarks

    New article

    1 4 0 0   Other staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 347 000

    1 816 000

    2 851 548,67

    Remarks

    New item

    Former items 1 1 1 0, 1 1 1 1, 1 1 1 2, 1 1 1 3, 1 1 1 4 and 1 1 1 5

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is mainly intended to cover the following expenditure:

    the remuneration of other staff, in particular auxiliaries, contract workers, local staff, special advisers (within the meaning of the Conditions of employment of other servants of the European Communities), the institution's social security contributions in respect of such staff and the effect of the weightings applicable to their remuneration,

    the fees of medical and paramedical staff paid under the performance of service scheme and, in special cases, the employment of temporary staff.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    1 4 0 4   In-service training and staff exchanges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 170 000

    1 135 000

    818 317,22

    Remarks

    New item

    Former Article 2 7 3 and items 1 5 2 0 and 1 5 2 1

    This appropriation is intended to cover:

    expenditure relating to the secondment or temporary assignment to the Court of Auditors of officials from Member States first and foremost, or from other Member States, and other experts or expenses relating to short-term consulting work,

    the reimbursement of additional expenses incurred by Community officials as a result of exchanges.

    the cost of periods of in-service training at the Court of Auditors.

    1 4 0 5   Other external services

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    182 000

    188 000

    173 091,94

    Remarks

    New item

    Former item 1 8 9 5

    This appropriation is intended to cover the hiring of temporary staff, excluding temporary translators.

    1 4 2   External services in the linguistic field

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    291 000

    286 500

    356 051,27

    Remarks

    New article

    Former items 1 8 3 0, 1 8 9 1 and 1 8 9 6

    This appropriation is intended to cover:

    expenditure relating to the measures decided upon by the Interinstitutional Committee for Translation and Interpreting (ICTI) with a view to promoting interinstitutional cooperation in the linguistic field,

    the fees, social security contributions, travel expenses and subsistence allowances of freelance and other non-permanent interpreters,

    the costs relating to the work of freelance or temporary translators or typing and other work sent out by the Translation Service.

    1 4 9   Provisional appropriation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    24 000

    p.m.

    0,—

    Remarks

    New article

    Former item 1 1 9 1 (in part)

    Staff Regulations of officials of the European Communities, and in particular Articles 65 and 65a thereof and Annex XI thereto.

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    This appropriation is intended to cover the cost of any adjustments to remuneration approved by the Council during the financial year.

    It is purely provisional and may only be used after its transfer to other articles or items of this chapter in accordance with the Financial Regulation.

    CHAPTER 1 6 —   OTHER EXPENDITURE RELATING TO PERSONS WORKING FOR THE INSTITUTION

    1 6 1   Expenditure relating to staff management

    Remarks

    New article

    1 6 1 0   Miscellaneous expenditure on recruitment

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    191 000

    191 000

    226 000,—

    Remarks

    New item

    Former item 1 8 8 0

    This appropriation is intended to cover the costs of advertising, inviting candidates, hiring rooms and equipment for competitions and other selection procedures organised directly by the Court of Auditors and expenses incurred by candidates for travel and medical check-ups.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    1 6 1 2   Further training for staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    800 000

    700 000

    681 964,65

    Remarks

    New item

    Former item 1 8 2 0

    Staff Regulations of officials of the European Communities, and in particular Article 24, third subparagraph thereof.

    This appropriation is intended to cover the organisation of further training courses including language training courses and seminars in financial management and control on an interinstitutional basis and the registration fees for similar seminars organised in the Member States.

    It also covers the purchase of teaching and technical equipment for staff training.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 2 500.

    1 6 2   Mission expenses of staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 000 000

    3 100 000

    2 458 949,95

    Remarks

    New article

    Former Article 1 3 0

    Staff Regulations of officials of the European Communities, and in particular Articles 11, 12 and 13 of Annex VII thereto.

    This appropriation is intended to cover expenditure on travel expenses, including ancillary costs relating to tickets and reservations, the payment of mission allowances and ancillary or exceptional expenses incurred as a result of missions by the Court’s officials and other staff and in respect of experts or national or international officials seconded to the Court and trainees.

    1 6 3   Assistance for staff of the institution

    Remarks

    New Article

    1 6 3 0   Social welfare

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    48 000

    48 000

    50 000,—

    Remarks

    New item

    Former Articles 1 6 0 and 1 6 4.

    Staff Regulations of officials of the European Communities, and in particular Article 76 thereof.

    This appropriation is intended to cover help for staff in particularly difficult circumstances.

    This appropriation is also intended for the following categories of disabled persons as part of a policy to assist the disabled:

    officials and temporary staff in active employment,

    spouses of officials and temporary staff in active employment,

    all dependent children within the meaning of the Staff Regulations of officials of the European Communities.

    It covers reimbursement, to the extent permitted by the budget and after national entitlements in the country of residence or the country of origin have been exhausted, of expenses (other than medical expenses) recognised as necessary, resulting from the handicap and supported by documentary evidence.

    1 6 3 2   Social contacts between Members of staff and other welfare expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    47 000

    46 000

    44 169,77

    Remarks

    New item

    Former Articles 1 8 6 and 1 8 7

    This appropriation is intended to:

    give financial encouragement and support to any project aimed at encouraging social contacts between staff of different nationalities, such as subsidies to staff clubs, cultural associations and sports associations,

    to cover other assistance and subsidies for staff and their families.

    1 6 5   Activities relating to all persons working for the institution

    Remarks

    New article

    1 6 5 0   Medical service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    120 000

    98 000

    54 469,01

    Remarks

    New item

    Former Article 1 4 1

    Staff Regulations of officials of the European Communities, and in particular Article 59 thereof and Article 8 of Annex II thereto.

    This appropriation is intended to cover the cost of the annual medical examination of all staff, including any ensuing medical examinations and tests requested.

    1 6 5 2   Restaurants and canteens

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    62 000

    63 000

    52 869,10

    Remarks

    New item

    Former items 1 8 4 0 and 1 8 4 1

    This appropriation is intended to cover the operating expenditure of the restaurants and cafeterias.

    This appropriation is also intended to cover the conversion and renewal of the equipment in the restaurant and cafeterias in order to comply with national health and safety standards currently in force.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    1 6 5 4   Early Childhood Centre and study centre in Luxembourg

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    718 000

    749 000

    660 188,54

    Remarks

    New item

    Former item 1 8 0 2

    This appropriation is intended to cover the Court’s contribution to the Early Childhood Centre and study centre in Luxembourg.

    TITLE 2

    BUILDINGS, MOVABLE PROPERTY, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 2 0

    2 0 0

    Buildings

    2 0 0 0

    Rent

     

     

     

    Non-differentiated appropriations

    4 380 000

    2 948 000

    2 221 446,16

    2 0 0 1

    Long lease fees and similar expenditure

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    2 0 0 3

    Acquisition of immovable property

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    2 0 0 5

    Construction of buildings

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    2 0 0 7

    Fitting-out of premises

     

     

     

    Non-differentiated appropriations

    275 000

    280 000

    130 000,—

    2 0 0 8

    Studies and technical assistance in connection with large-scale building projects

     

     

     

    Non-differentiated appropriations

    400 000

    375 000

    172 263,84

     

    Article 2 0 0 — Total

    5 055 000

    3 603 000

    2 523 710,—

    2 0 2

    Expenditure on buildings

    2 0 2 2

    Cleaning and maintenance

     

     

     

    Non-differentiated appropriations

    1 098 000

    843 000

    796 000,—

    2 0 2 4

    Energy consumption

     

     

     

    Non-differentiated appropriations

    894 000

    725 000

    740 000,—

    2 0 2 6

    Security and surveillance of buildings

     

     

     

    Non-differentiated appropriations

    897 000

    934 000

    890 379,—

    2 0 2 8

    Insurance

     

     

     

    Non-differentiated appropriations

    78 000

    60 000

    76 000,—

    2 0 2 9

    Other expenditure on buildings

     

     

     

    Non-differentiated appropriations

    104 000

    64 000

    58 000,—

     

    Article 2 0 2 — Total

    3 071 000

    2 626 000

    2 560 379,—

     

    CHAPTER 2 0 — TOTAL

    8 126 000

    6 229 000

    5 084 089,—

     

    CHAPTER 2 1

    2 1 0

    Equipment, operating costs and services relating to data processing and telecommunications

    2 1 0 0

    Purchase, work on and maintenance of equipment and software

     

     

     

    Non-differentiated appropriations

    3 193 000

    2 615 000

    1 967 958,31

    2 1 0 2

    External services for the operation, implementation and maintenance of software and systems

     

     

     

    Non-differentiated appropriations

    1 678 000

    1 155 000

    797 259,34

    2 1 0 3

    Telecommunications

     

     

     

    Non-differentiated appropriations

    647 000

    655 000

    664 984,87

     

    Article 2 1 0 — Total

    5 518 000

    4 425 000

    3 430 202,52

    2 1 2

    Furniture

     

     

     

    Non-differentiated appropriations

    532 000

    328 000

    321 000,—

    2 1 4

    Technical equipment and installations

     

     

     

    Non-differentiated appropriations

    292 000

    318 000

    266 442,72

    2 1 6

    Vehicles

     

     

     

    Non-differentiated appropriations

    572 000

    470 000

    319 844,57

     

    CHAPTER 2 1 — TOTAL

    6 914 000

    5 541 000

    4 337 489,81

     

    CHAPTER 2 3

    2 3 0

    Stationery, office supplies and miscellaneous consumables

     

     

     

    Non-differentiated appropriations

    200 000

    200 000

    199 912,02

    2 3 1

    Financial charges

     

     

     

    Non-differentiated appropriations

    30 000

    30 000

    15 350,—

    2 3 2

    Legal expenses and damages

     

     

     

    Non-differentiated appropriations

    20 000

    20 000

    3 858,60

    2 3 6

    Postage and delivery charges

     

     

     

    Non-differentiated appropriations

    50 000

    50 000

    50 000,—

    2 3 8

    Other administrative expenditure

     

     

     

    Non-differentiated appropriations

    135 000

    135 000

    175 364,01

     

    CHAPTER 2 3 — TOTAL

    435 000

    435 000

    444 484,63

     

    CHAPTER 2 5

    2 5 2

    Entertainment and representation expenses

     

     

     

    Non-differentiated appropriations

    262 000

    243 000

    179 708,57

    2 5 4

    Miscellaneous expenditure on meetings

    2 5 4 0

    Miscellaneous expenditure on internal meetings

     

     

     

    Non-differentiated appropriations

    7 000

    7 000

    6 002,97

    2 5 4 2

    Meetings, congresses and conferences

     

     

     

    Non-differentiated appropriations

    102 000

    102 000

    53 913,06

     

    Article 2 5 4 — Total

    109 000

    109 000

    59 916,03

    2 5 6

    Expenditure on publication, the dissemination of information and on participation in public events

     

     

     

    Non-differentiated appropriations

    13 000

    13 000

    4 912,09

    2 5 7

    Joint Interpreting and Conference Service

     

     

     

    Non-differentiated appropriations

    460 000

    460 000

    460 000,—

     

    CHAPTER 2 5 — TOTAL

    844 000

    825 000

    704 536,69

     

    CHAPTER 2 7

    2 7 0

    Limited consultations, studies and surveys

     

     

     

    Non-differentiated appropriations

    330 000

    350 000

    253 460,—

    2 7 2

    Acquisition of information and archiving

    2 7 2 0

    Documentation and library expenditure

     

     

     

    Non-differentiated appropriations

    245 000

    221 000

    221 349,55

    2 7 2 2

    Expenditure on archive resources

     

     

     

    Non-differentiated appropriations

    103 000

    103 000

    100 522,14

     

    Article 2 7 2 — Total

    348 000

    324 000

    321 871,69

    2 7 4

    Production and distribution

    2 7 4 0

    Official Journal

     

     

     

    Non-differentiated appropriations

    950 000

    850 000

    600 000,—

    2 7 4 1

    Publications of a general nature

     

     

     

    Non-differentiated appropriations

    210 000

    140 000

    117 273,03

     

    Article 2 7 4 — Total

    1 160 000

    990 000

    717 273,03

     

    CHAPTER 2 7 — TOTAL

    1 838 000

    1 664 000

    1 292 604,72

     

    Title 2 — Total

    18 157 000

    14 694 000

    11 863 204,85

    CHAPTER 2 0 —

    BUILDINGS AND ASSOCIATED COSTS

    CHAPTER 2 1 —

    DATA PROCESSING, EQUIPMENT AND MOVABLE PROPERTY: PURCHASE, HIRE AND MAINTENANCE

    CHAPTER 2 3 —

    CURRENT ADMINISTRATIVE EXPENDITURE

    CHAPTER 2 5 —

    MEETINGS AND CONFERENCES

    CHAPTER 2 7 —

    INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISTRIBUTION

    CHAPTER 2 0 —   BUILDINGS AND ASSOCIATED COSTS

    2 0 0   Buildings

    2 0 0 0   Rent

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    4 380 000

    2 948 000

    2 221 446,16

    Remarks

    New item

    Former Article 2 0 0

    This appropriation is intended to cover expenditure on rents in Luxembourg and Brussels.

    The amount of revenue assigned in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    2 0 0 1   Long lease fees and similar expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    New item

    This appropriation is intended to cover long lease fees and other similar expenditure owed by the institution under lease/purchase contracts.

    2 0 0 3   Acquisition of immovable property

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    New item

    Former Article 2 0 6

    This appropriation is intended to cover the financing, by annual instalments, of the extension work to the building of the Court of Auditors in Luxembourg (Kirchberg).

    2 0 0 5   Construction of buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    New item

    This item is intended for any entry of appropriations for the construction of buildings.

    2 0 0 7   Fitting-out of premises

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    275 000

    280 000

    130 000,—

    Remarks

    New item

    Former Article 2 0 4

    This appropriation is intended to cover:

    various kinds of fitting-out work, including in particular the installation of partitions, curtains, cables, painting, wall coverings, floor coverings, suspended ceilings and the related technical installations,

    expenditure relating to work resulting from studies and technical assistance in respect of large-scale building projects.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    2 0 0 8   Studies and technical assistance in connection with large-scale building projects

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    400 000

    375 000

    172 263,84

    Remarks

    New item

    Former Article 2 0 8

    This appropriation is intended to cover the expenditure relating to studies and technical assistance in connection with large-scale building projects.

    2 0 2   Expenditure on buildings

    2 0 2 2   Cleaning and maintenance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 098 000

    843 000

    796 000,—

    Remarks

    New item

    Former Article 2 0 3

    This appropriation is intended to cover:

    maintenance and cleaning costs for premises, lifts, central heating, air-conditioning equipment, electrical installations and alterations and repairs to them,

    the purchase of maintenance, washing, laundry and dry-cleaning products, and any supplies required for maintenance.

    Before renewing or concluding contracts, the institution will consult the other institutions on the terms each of them has obtained (price, currency chosen, indexing, duration, other clauses), with due regard to Article 63 of the Financial Regulation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    2 0 2 4   Energy consumption

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    894 000

    725 000

    740 000,—

    Remarks

    New item

    Former Article 2 0 2

    This appropriation is intended to cover water, gas and electricity consumption and heating costs.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    2 0 2 6   Security and surveillance of buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    897 000

    934 000

    890 379,—

    Remarks

    New item

    Former Article 2 0 5

    This appropriation is intended to cover miscellaneous expenditure relating to the security of buildings, especially the contract for the surveillance of the buildings, the purchase and maintenance of fire-fighting equipment and equipment for security officers, etc.

    Before renewing or concluding contracts, the institution will consult the other institutions on the terms each of them has obtained (price, currency chosen, indexing, duration, other clauses), with due regard to Article 63 of the Financial Regulation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    2 0 2 8   Insurance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    78 000

    60 000

    76 000,—

    Remarks

    New item

    Former Article 2 0 1

    This appropriation is intended to cover the premiums payable on the insurance policies relating to the buildings occupied by the institution, including cover for movable property and works of art.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    2 0 2 9   Other expenditure on buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    104 000

    64 000

    58 000,—

    Remarks

    New item

    Former Article 2 0 9

    This appropriation is intended to cover other current expenditure on buildings not specifically provided for in the other articles of this chapter, in particular sewerage, refuse collection, road taxes, signs, etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    CHAPTER 2 1 —   DATA PROCESSING, EQUIPMENT AND MOVABLE PROPERTY: PURCHASE, HIRE AND MAINTENANCE

    2 1 0   Equipment, operating costs and services relating to data processing and telecommunications

    Remarks

    New article

    2 1 0 0   Purchase, work on and maintenance of equipment and software

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 193 000

    2 615 000

    1 967 958,31

    Remarks

    New item

    Former Article 2 1 1

    This appropriation is intended to cover the following operating expenditure:

    purchase, leasing and maintenance of computer equipment and software, telecommunications, including the 'Helpdesk' services and other supplies and documentation,

    computer cables.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    2 1 0 2   External services for the operation, implementation and maintenance of software and systems

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 678 000

    1 155 000

    797 259,34

    Remarks

    New item

    Former Article 2 1 4

    This appropriation is intended to cover expenditure on outside staff and work contracted out.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    2 1 0 3   Telecommunications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    647 000

    655 000

    664 984,87

    Remarks

    New item

    Former Article 2 4 1

    This appropriation is intended to cover all expenditure related to telecommunications such as subscriber charges, telephone lines, communications charges, maintenance fees and the purchase, renewal, repair and maintenance of telephone installations and equipment.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 60 000.

    2 1 2   Furniture

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    532 000

    328 000

    321 000,—

    Remarks

    New article

    Former items 2 2 1 0, 2 2 1 1, 2 2 1 2 and 2 2 1 3

    This appropriation is intended to cover the purchase or hire of additional furniture, its maintenance or repair and the replacement of old or damaged furniture.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    2 1 4   Technical equipment and installations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    292 000

    318 000

    266 442,72

    Remarks

    New article

    Former items 2 2 0 0, 2 2 0 1, 2 2 0 2, 2 2 0 3 and 2 2 0 4

    This appropriation is intended to cover expenditure on the purchase, replacement, hire, maintenance and repair of technical equipment and office machines.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    2 1 6   Vehicles

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    572 000

    470 000

    319 844,57

    Remarks

    New article

    Former items 2 2 3 0, 2 2 3 1, 2 2 3 2 and 2 2 3 3

    This appropriation is intended to cover the purchase or hire of vehicles, with or without drivers, (including taxis) and the resultant running costs.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    CHAPTER 2 3 —   CURRENT ADMINISTRATIVE EXPENDITURE

    2 3 0   Stationery, office supplies and miscellaneous consumables

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    200 000

    200 000

    199 912,02

    Remarks

    This appropriation is intended to cover expenditure on stationery and office supplies.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    2 3 1   Financial charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    30 000

    30 000

    15 350,—

    Remarks

    New article

    Former items 2 3 2 0, 2 3 2 1 and 2 3 2 9

    2 3 2   Legal expenses and damages

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    20 000

    20 000

    3 858,60

    Remarks

    Former Articles 2 3 3 and 2 3 4

    This appropriation is intended to cover any expenditure and fees the Court of Auditors may have to bear.

    2 3 6   Postage and delivery charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    50 000

    50 000

    50 000,—

    Remarks

    New article

    Former Article 2 4 0

    2 3 8   Other administrative expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    135 000

    135 000

    175 364,01

    Remarks

    New article

    Former items 2 3 5 0, 2 3 5 1, 2 3 5 2, 2 3 5 3, 2 3 5 4 and 2 3 5 9

    This appropriation is intended to cover:

    the cost of luggage insurance for staff travelling on mission,

    the purchase of uniforms for messengers and drivers, and other work clothes,

    the cost of refreshments and occasional snacks served during internal meetings,

    the costs of removal and handling of equipment, furniture and office supplies,

    other operating expenditure not specifically provided for in the preceding headings and costs relating to maintenance and repair of equipment,

    petty expenses.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    CHAPTER 2 5 —   MEETINGS AND CONFERENCES

    2 5 2   Entertainment and representation expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    262 000

    243 000

    179 708,57

    Remarks

    New article

    Former items 1 7 0 0 and 1 7 0 1

    This appropriation is intended to cover expenditure on the Court of Auditors’ obligations in respect of entertainment and representation.

    2 5 4   Miscellaneous expenditure on meetings

    Remarks

    New article

    2 5 4 0   Miscellaneous expenditure on internal meetings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    7 000

    7 000

    6 002,97

    Remarks

    New item

    Former Article 2 5 0

    This appropriation is intended to cover travel, subsistence and incidental expenses of experts taking part in study groups and working parties, and the cost of organising such meetings in so far as they are not covered by existing infrastructure.

    2 5 4 2   Meetings, congresses and conferences

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    102 000

    102 000

    53 913,06

    Remarks

    New item

    Former Article 2 5 5

    This appropriation is intended to cover the cost of the organisation of and participation in conferences, congresses and meetings.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 5 6   Expenditure on publication, the dissemination of information and on participation in public events

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    13 000

    13 000

    4 912,09

    Remarks

    New article

    Former Article 2 7 2

    This appropriation is intended to cover the cost of organising study days on the activities of the Court of Auditors, for the benefit of university teachers, editors of specialised journals or other specialist visitors from the Member States. This appropriation is also intended to cover miscellaneous expenditure relating to the Court’s information and communication policy.

    2 5 7   Joint Interpreting and Conference Service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    460 000

    460 000

    460 000,—

    Remarks

    New article

    Former item 2 3 9 1

    This appropriation is intended to cover payment for services provided by the interpreting services of the European Parliament and the Commission.

    CHAPTER 2 7 —   INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISTRIBUTION

    2 7 0   Limited consultations, studies and surveys

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    330 000

    350 000

    253 460,—

    Remarks

    Former Article 2 6 0

    This appropriation is intended to enable studies to be contracted out to qualified experts in the fields of audit and also in those of an administrative nature.

    As part of its audit work, the Court of Auditors has to call on outside experts for technical studies and analyses (chemical, physical and statistical). The need for appropriations to cover the cost of studies contracted out to experts is justified by the specialised and sometimes unforeseeable nature of the studies in question. Without such appropriations, the Court of Auditors could be seriously hampered in performing its duties and its independence could be jeopardised. This appropriation also includes the cost of the audit of the Court of Auditors’ accounts by independent auditors whose report is published in the Official Journal of the European Union.

    2 7 2   Acquisition of information and archiving

    Remarks

    New article

    2 7 2 0   Documentation and library expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    245 000

    221 000

    221 349,55

    Remarks

    New item

    Former items 2 2 5 0, 2 2 5 1, 2 2 5 2 and 2 2 5 3

    This appropriation is intended to cover:

    the purchase of books and other non-periodic publications required by the Court departments, and by the Language Service in particular,

    the cost of subscriptions to newspapers and periodicals, including specialist financial and other periodicals, consultation of which is an essential part of audit work, and the cost of subscriptions to news agencies,

    the cost of purchasing all forms of equipment and accessories to do with filing, storing, stocking and reproduction and adapted to the specific needs of the library.

    2 7 2 2   Expenditure on archive resources

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    103 000

    103 000

    100 522,14

    Remarks

    New item

    Former items 2 2 5 4 and 2 2 7 0

    Council Regulation (EEC, Euratom) No 354/83 of 1 February 1983 concerning the opening to the public of the historical archives of the European Economic Community and the European Atomic Energy Community (OJ L 43, 15.2.1983, p. 1), as amended by Regulation (EC, Euratom) No 1700/2003 (OJ L 243, 27.9.2003, p. 1).

    Deposit agreement between the European institutions and the Historical Archives of the European Communities in Florence of 17.12.1984.

    This appropriation is intended to cover:

    the cost of binding and conservation of library books,

    the cost of outside services for archiving operations, including sorting, filing and refiling in the depositories, the cost of archive services, the acquisition and use of archive resources on substitute media (microfilms, discs, cassettes, etc.).

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 150 000.

    2 7 4   Production and distribution

    Remarks

    New article

    2 7 4 0   Official Journal

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    950 000

    850 000

    600 000,—

    Remarks

    New item

    Former Article 2 7 0

    This appropriation is intended to cover the cost of publications by the Court of Auditors in the Official Journal of the European Union.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 88 000.

    2 7 4 1   Publications of a general nature

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    210 000

    140 000

    117 273,03

    Remarks

    New item

    Former items 2 7 1 0 and 2 7 1 9

    This appropriation is intended to cover:

    the costs of publishing and distributing the reports and opinions adopted by the Court pursuant to Article 248(4), second subparagraph, and 280(4) of the Treaty establishing the European Community,

    expenditure on distribution of documents on general audit work and relating to the Court of Auditors’ activities (website, audiovisual equipment, paper documents),

    the expenditure incurred on the application of Declaration No 18 annexed to the Treaty of Nice relating to the Court of Auditors: ‘The Conference of representatives of the governments of the Member States invites the Court of Auditors and the national audit institutions to improve the framework and conditions for cooperation between them, while maintaining the autonomy of each. To that end, the President of the Court of Auditors may set up a contact committee with the chairmen of the national audit institutions’.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated as a token entry.

    TITLE 10

    OTHER EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 10 0

    p.m.

    p.m.

    p.m.

     

    CHAPTER 10 0 — TOTAL

    p.m.

    p.m.

    p.m.

     

    CHAPTER 10 1

    p.m.

    p.m.

    p.m.

     

    CHAPTER 10 1 — TOTAL

    p.m.

    p.m.

    p.m.

     

    Title 10 — Total

    p.m.

    p.m.

    p.m.

     

    GRAND TOTAL

    121 080 000

    113 196 491

    93 428 852,33

    CHAPTER 10 0 —

    PROVISIONAL APPROPRIATIONS

    CHAPTER 10 1 —

    CONTINGENCY RESERVE

    CHAPTER 10 0 —   PROVISIONAL APPROPRIATIONS

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    p.m.

    CHAPTER 10 1 —   CONTINGENCY RESERVE

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    p.m.

    SECTION VI

    EUROPEAN ECONOMIC AND SOCIAL COMMITTEE

    REVENUE

    Contribution of the European Communities to the financing of the expenditure of the Economic and Social Committee for the financial year 2007

    Heading

    Amount

    Expenditure

    112 694 342

    Own resources

    –10 855 839

    Contribution due

    101 838 503

    OWN RESOURCES

    TITLE 4

    REVENUE ACCRUING FROM PERSONS WORKING WITH THE INSTITUTIONS AND OTHER COMMUNITY BODIES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 4 0

    4 0 0

    Proceeds from taxation on the salaries, wages and allowances of Members of the institution, officials, other servants and recipients of pensions

    4 303 357

    4 446 817

    3 738 734,—

    4 0 3

    Proceeds of the temporary contribution from the salaries of Members of the institution, officials and other servants in active employment

    p.m.

    p.m.

    7,—

    4 0 4

    Proceeds from the special levy on the salaries of Members of the institutions, officials and other servants in active employment

    481 965

    449 935

    323 714,—

     

    CHAPTER 4 0 — TOTAL

    4 785 322

    4 896 752

    4 062 455,—

     

    CHAPTER 4 1

    4 1 0

    Staff contributions to the pension scheme

    4 806 517

    3 798 876

    4 175 877,—

    4 1 1

    Transfer or purchase of pension rights by staff

    p.m.

    p.m.

    603 573,—

    4 1 2

    Contributions to the pension scheme by officials and temporary staff on leave on personal grounds

    p.m.

    p.m.

    0,—

     

    CHAPTER 4 1 — TOTAL

    4 806 517

    3 798 876

    4 779 450,—

     

    Title 4 — Total

    9 591 839

    8 695 628

    8 841 905,—

    CHAPTER 4 0 —

    MISCELLANEOUS TAXES AND DEDUCTIONS

    CHAPTER 4 1 —

    CONTRIBUTIONS TO THE PENSION SCHEME

    CHAPTER 4 0 —   MISCELLANEOUS TAXES AND DEDUCTIONS

    4 0 0   Proceeds from taxation on the salaries, wages and allowances of Members of the institution, officials, other servants and recipients of pensions

    Financial year 2007

    Financial year 2006

    Financial year 2005

    4 303 357

    4 446 817

    3 738 734,—

    Remarks

    Protocol on the privileges and immunities of the European Communities.

    Council Regulation (EEC, Euratom, ECSC) No 260/68 of 29 February 1968 laying down the conditions and procedure for applying the tax for the benefit of the European Communities (OJ L 56, 4.3.1968, p. 8) as last amended by Regulation (EC, Euratom) No 1750/2002 (OJ L 264, 2.10.2002, p. 15).

    4 0 3   Proceeds of the temporary contribution from the salaries of Members of the institution, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    7,—

    Remarks

    Council Regulation (ECSC, EEC, Euratom) No 3831/91 of 19 December 1991 amending the Staff Regulations of officials and the Conditions of employment of other servants of the European Communities with a view to introducing a temporary contribution (OJ L 361, 31.12.1991, p. 7).

    4 0 4   Proceeds from the special levy on the salaries of Members of the institutions, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    481 965

    449 935

    323 714,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 66a.

    CHAPTER 4 1 —   CONTRIBUTIONS TO THE PENSION SCHEME

    4 1 0   Staff contributions to the pension scheme

    Financial year 2007

    Financial year 2006

    Financial year 2005

    4 806 517

    3 798 876

    4 175 877,—

    Remarks

    Former Article 4 0 1

    Staff Regulations of officials of the European Communities, and in particular Article 83(2) thereof.

    4 1 1   Transfer or purchase of pension rights by staff

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    603 573,—

    Remarks

    Former Article 5 5 0

    Staff Regulations of officials of the European Communities, and in particular Articles 4, 11(2) and (3) and 48 of Annex VIII thereto.

    4 1 2   Contributions to the pension scheme by officials and temporary staff on leave on personal grounds

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    TITLE 5

    REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTION

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 5 0

    5 0 0

    Proceeds from the sale of movable property (supply of goods)

    5 0 0 0

    Proceeds from the sale of vehicles — Assigned revenue

    p.m.

    p.m.

    0,—

    5 0 0 1

    Proceeds from the sale of other movable property — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 5 0 0 — Total

    p.m.

    p.m.

    0,—

    5 0 2

    Proceeds from the sale of publications, printed works and films — Assigned revenue

    200 000

    109 000

    235 277,—

     

    CHAPTER 5 0 — TOTAL

    200 000

    109 000

    235 277,—

     

    CHAPTER 5 1

    5 1 0

    Proceeds from the hiring-out of furniture and equipment — Assigned revenue

    p.m.

    p.m.

    0,—

    5 1 1

    Proceeds from letting and subletting immovable property and reimbursement of charges connected with lettings

    5 1 1 0

    Proceeds from letting and subletting immovable property — Assigned revenue

    p.m.

    p.m.

    0,—

    5 1 1 1

    Reimbursement of charges connected with lettings — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 5 1 1 — Total

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 1 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 2

    5 2 0

    Revenue from investments or loans granted, bank and other interest on the institution's accounts

    64 000

    64 000

    73 729,—

     

    CHAPTER 5 2 — TOTAL

    64 000

    64 000

    73 729,—

     

    CHAPTER 5 5

    5 5 0

    Revenue from the supply of services and works to other institutions or bodies, including refunds by other institutions or bodies of mission allowances paid on their behalf — Assigned revenue

    1 000 000

    p.m.

    3 478 361,—

    5 5 1

    Revenue from third parties in respect of services or work supplied at their request — Assigned revenue

    p.m.

    p.m.

    p.m.

     

    CHAPTER 5 5 — TOTAL

    1 000 000

    p.m.

    3 478 361,—

     

    CHAPTER 5 7

    5 7 0

    Revenue arising from the repayment of amounts wrongly paid — Assigned revenue

    p.m.

    p.m.

    85 584,—

    5 7 1

    Revenue earmarked for a specific purpose, such as income from foundations, subsidies, gifts and bequests, including the earmarked revenue specific to each institution — Assigned revenue

    p.m.

    p.m.

    0,—

    5 7 3

    Other contributions and refunds in connection with the administrative operation of the institution — Assigned revenue

    p.m.

    1 000 000

    1 000 000,—

     

    CHAPTER 5 7 — TOTAL

    p.m.

    1 000 000

    1 085 584,—

     

    CHAPTER 5 8

    5 8 0

    Revenue arising from indemnities connected with renting — Assigned revenue

    p.m.

    p.m.

    0,—

    5 8 1

    Revenue from insurance payments received — Assigned revenue

    p.m.

    p.m.

    7 308,—

     

    CHAPTER 5 8 — TOTAL

    p.m.

    p.m.

    7 308,—

     

    CHAPTER 5 9

    5 9 0

    Other revenue from administrative operations

    p.m.

    p.m.

    121 380,—

     

    CHAPTER 5 9 — TOTAL

    p.m.

    p.m.

    121 380,—

     

    Title 5 — Total

    1 264 000

    1 173 000

    5 001 639,—

    CHAPTER 5 0 —

    PROCEEDS FROM THE SALE OF MOVABLE PROPERTY (SUPPLY OF GOODS) AND IMMOVABLE PROPERTY

    CHAPTER 5 1 —

    PROCEEDS FROM LETTING AND HIRING

    CHAPTER 5 2 —

    REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST

    CHAPTER 5 5 —

    REVENUE FROM THE SUPPLY OF SERVICES AND WORKS

    CHAPTER 5 7 —

    OTHER CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTION

    CHAPTER 5 8 —

    MISCELLANEOUS COMPENSATION

    CHAPTER 5 9 —

    OTHER REVENUE FROM ADMINISTRATIVE OPERATIONS

    CHAPTER 5 0 —   PROCEEDS FROM THE SALE OF MOVABLE PROPERTY (SUPPLY OF GOODS) AND IMMOVABLE PROPERTY

    5 0 0   Proceeds from the sale of movable property (supply of goods)

    5 0 0 0   Proceeds from the sale of vehicles — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    This item is intended to record revenue from the sale or part-exchange of vehicles belonging to the institutions.

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 0 1   Proceeds from the sale of other movable property — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Article 5 0 0

    This item is intended to record revenue from the sale or part-exchange of movable property, other than vehicles, belonging to the institutions.

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 2   Proceeds from the sale of publications, printed works and films — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    200 000

    109 000

    235 277,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 1 —   PROCEEDS FROM LETTING AND HIRING

    5 1 0   Proceeds from the hiring-out of furniture and equipment — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 1 1   Proceeds from letting and subletting immovable property and reimbursement of charges connected with lettings

    5 1 1 0   Proceeds from letting and subletting immovable property — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 1 1 1   Reimbursement of charges connected with lettings — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 2 —   REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST

    5 2 0   Revenue from investments or loans granted, bank and other interest on the institution's accounts

    Financial year 2007

    Financial year 2006

    Financial year 2005

    64 000

    64 000

    73 729,—

    CHAPTER 5 5 —   REVENUE FROM THE SUPPLY OF SERVICES AND WORKS

    5 5 0   Revenue from the supply of services and works to other institutions or bodies, including refunds by other institutions or bodies of mission allowances paid on their behalf — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    1 000 000

    p.m.

    3 478 361,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 5 1   Revenue from third parties in respect of services or work supplied at their request — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    p.m.

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 7 —   OTHER CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTION

    5 7 0   Revenue arising from the repayment of amounts wrongly paid — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    85 584,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 7 1   Revenue earmarked for a specific purpose, such as income from foundations, subsidies, gifts and bequests, including the earmarked revenue specific to each institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 7 3   Other contributions and refunds in connection with the administrative operation of the institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    1 000 000

    1 000 000,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 8 —   MISCELLANEOUS COMPENSATION

    5 8 0   Revenue arising from indemnities connected with renting — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 8 1   Revenue from insurance payments received — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    7 308,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 9 —   OTHER REVENUE FROM ADMINISTRATIVE OPERATIONS

    5 9 0   Other revenue from administrative operations

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    121 380,—

    TITLE 9

    MISCELLANEOUS REVENUE

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 9 0

    p.m.

    16 000

    3 356,—

     

    CHAPTER 9 0 — TOTAL

    p.m.

    16 000

    3 356,—

     

    Title 9 — Total

    p.m.

    16 000

    3 356,—

     

    GRAND TOTAL

    10 855 839

    9 884 628

    13 846 900,—

    CHAPTER 9 0 —

    MISCELLANEOUS REVENUE

    CHAPTER 9 0 —   MISCELLANEOUS REVENUE

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    16 000

    3 356,—

    EXPENDITURE

    General summary of appropriations (2007 and 2006) and outturn (2005)

    Title

    Chapter

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1

    EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    1 0

    MEMBERS OF THE INSTITUTION AND DELEGATES

    13 519 530

    12 851 400

    12 187 331,—

    1 2

    OFFICIALS AND TEMPORARY STAFF

    58 426 649

    56 931 119

    49 546 857,—

    1 4

    OTHER STAFF AND OUTSIDE SERVICES

    3 257 784

    3 533 982

    1 953 722,—

    1 6

    OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    1 620 844

    1 609 841

    916 002,—

     

    Title 1 — Total

    76 824 807

    74 926 342

    64 603 912,—

    2

    BUILDINGS, FURNITURE, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    2 0

    BUILDINGS AND ASSOCIATED COSTS

    17 954 858

    16 236 473

    12 780 063,—

    2 1

    DATA PROCESSING, EQUIPMENT AND FURNITURE: PURCHASE, HIRE AND MAINTENANCE

    4 614 717

    4 794 847

    2 545 306,—

    2 3

    CURRENT ADMINISTRATIVE EXPENDITURE

    757 582

    853 964

    489 644,—

    2 5

    OPERATIONAL ACTIVITIES

    10 291 848

    9 301 179

    6 256 744,—

    2 6

    COMMUNICATION, PUBLICATIONS AND ACQUISITION OF DOCUMENTATION

    1 950 530

    1 872 000

    643 282,—

     

    Title 2 — Total

    35 569 535

    33 058 463

    22 715 039,—

    10

    OTHER EXPENDITURE

    10 0

    PROVISIONAL APPROPRIATIONS

    300 000

    p.m.

    p.m.

    10 1

    CONTINGENCY RESERVE

    p.m.

    p.m.

    p.m.

    10 2

    RESERVE TO PROVIDE FOR THE TAKEOVER OF BUILDINGS

    p.m.

    p.m.

    p.m.

     

    Title 10 — Total

    300 000

    p.m.

    p.m.

     

    GRAND TOTAL

    112 694 342

    107 984 805

    87 318 951,—

    TITLE 1

    EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 1 0

    1 0 0

    Salaries, allowances and payments

    1 0 0 0

    Salaries, allowances and payments

     

     

     

    Non-differentiated appropriations

    82 250

    75 000

    52 046,—

    1 0 0 4

    Travel and subsistence allowances, attendance at meetings and associated expenditure

     

     

     

    Non-differentiated appropriations

    13 000 000

    12 400 000

    11 820 866,—

    1 0 0 8

    Travel and subsistence allowances, attendance at meetings and associated expenditure of delegates of the Consultative Commission on Industrial Change

     

     

     

    Non-differentiated appropriations

    398 780

    337 900

    303 124,—

     

    Article 1 0 0 — Total

    13 481 030

    12 812 900

    12 176 036,—

    1 0 5

    Further training, language courses and other training

     

     

     

    Non-differentiated appropriations

    38 500

    38 500

    11 295,—

     

    CHAPTER 1 0 — TOTAL

    13 519 530

    12 851 400

    12 187 331,—

     

    CHAPTER 1 2

    1 2 0

    Remuneration and other entitlements

    1 2 0 0

    Remuneration and allowances

     

     

     

    Non-differentiated appropriations

    56 413 802

    55 014 678

    48 628 776,—

    1 2 0 2

    Paid overtime

     

     

     

    Non-differentiated appropriations

    102 500

    90 000

    88 264,—

    1 2 0 4

    Entitlements in connection with entering the service, transfer and leaving the service

     

     

     

    Non-differentiated appropriations

    1 277 106

    1 167 286

    829 817,—

     

    Article 1 2 0 — Total

    57 793 408

    56 271 964

    49 546 857,—

    1 2 2

    Allowances upon early termination of service

    1 2 2 0

    Allowances for staff retired in the interests of the service

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 2 2 2

    Allowances for staff whose service is terminated and special retirement scheme for officials and temporary staff

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    Article 1 2 2 — Total

    p.m.

    p.m.

    0,—

    1 2 9

    Provisional appropriation

     

     

     

    Non-differentiated appropriations

    633 241

    659 155

    0,—

     

    CHAPTER 1 2 — TOTAL

    58 426 649

    56 931 119

    49 546 857,—

     

    CHAPTER 1 4

    1 4 0

    Other staff and externals

    1 4 0 0

    Other staff

     

     

     

    Non-differentiated appropriations

    1 531 284

    1 552 086

    742 362,—

    1 4 0 4

    Graduate traineeships, grants and exchanges of officials

     

     

     

    Non-differentiated appropriations

    594 000

    671 896

    353 630,—

    1 4 0 8

    Entitlements in connection with entering the service, transfer and leaving the service

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    Article 1 4 0 — Total

    2 125 284

    2 223 982

    1 095 992,—

    1 4 2

    Outside services

    1 4 2 0

    Supplementary services for the translation service

     

     

     

    Non-differentiated appropriations

    470 500

    662 000

    230 652,—

    1 4 2 2

    Expert advice connected with consultative work

     

     

     

    Non-differentiated appropriations

    662 000

    648 000

    627 078,—

     

    Article 1 4 2 — Total

    1 132 500

    1 310 000

    857 730,—

    1 4 9

    Provisional appropriation

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    CHAPTER 1 4 — TOTAL

    3 257 784

    3 533 982

    1 953 722,—

     

    CHAPTER 1 6

    1 6 1

    Expenditure relating to staff management

    1 6 1 0

    Expenditure on recruitment

     

     

     

    Non-differentiated appropriations

    95 000

    108 000

    58 381,—

    1 6 1 2

    Further training

     

     

     

    Non-differentiated appropriations

    427 600

    350 290

    289 126,—

     

    Article 1 6 1 — Total

    522 600

    458 290

    347 507,—

    1 6 2

    Mission expenses

     

     

     

    Non-differentiated appropriations

    450 000

    412 500

    261 587,—

    1 6 3

    Activities relating to all persons working with the institution

    1 6 3 0

    Social welfare

     

     

     

    Non-differentiated appropriations

    25 000

    50 000

    9 057,—

    1 6 3 2

    Social contacts between members of staff and other social measures

     

     

     

    Non-differentiated appropriations

    69 600

    56 245

    36 614,—

    1 6 3 4

    Medical service

     

     

     

    Non-differentiated appropriations

    42 000

    39 000

    13 573,—

    1 6 3 6

    Restaurants and canteens

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 6 3 8

    Early Childhood Centre and approved day nurseries

     

     

     

    Non-differentiated appropriations

    511 644

    593 806

    247 664,—

     

    Article 1 6 3 — Total

    648 244

    739 051

    306 908,—

     

    CHAPTER 1 6 — TOTAL

    1 620 844

    1 609 841

    916 002,—

     

    Title 1 — Total

    76 824 807

    74 926 342

    64 603 912,—

    CHAPTER 1 0 —

    MEMBERS OF THE INSTITUTION AND DELEGATES

    CHAPTER 1 2 —

    OFFICIALS AND TEMPORARY STAFF

    CHAPTER 1 4 —

    OTHER STAFF AND OUTSIDE SERVICES

    CHAPTER 1 6 —

    OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    CHAPTER 1 0 —   MEMBERS OF THE INSTITUTION AND DELEGATES

    1 0 0   Salaries, allowances and payments

    1 0 0 0   Salaries, allowances and payments

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    82 250

    75 000

    52 046,—

    Remarks

    Former Items 1 0 0 0, 1 0 0 3, 1 0 0 5, 1 0 0 6 and former Article 1 0 1

    This appropriation is intended to cover salaries, allowances and payments related to salaries for Members of the European Economic and Social Committee, including the sickness and accident insurance premiums and specific assistance to disabled members.

    1 0 0 4   Travel and subsistence allowances, attendance at meetings and associated expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    13 000 000

    12 400 000

    11 820 866,—

    Remarks

    This appropriation is intended to cover payments to European Economic and Social Committee Members and their alternates under the current rules on reimbursement of transport costs and travel and meeting allowances.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    1 0 0 8   Travel and subsistence allowances, attendance at meetings and associated expenditure of delegates of the Consultative Commission on Industrial Change

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    398 780

    337 900

    303 124,—

    Remarks

    Former Article 2 5 2 (in part)

    This appropriation is intended to cover payments to delegates of the Consultative Commission on Industrial Change and their alternates under the current rules on reimbursement of transport costs and travel and meeting allowances.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 0 5   Further training, language courses and other training

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    38 500

    38 500

    11 295,—

    Remarks

    Former Article 1 0 6

    This appropriation is intended to subsidise part of the registration fees for language courses or other vocational training seminars attended by members of the European Economic and Social Committee and delegates of the Consultative Commission on Industrial Change (CCMI).

    CHAPTER 1 2 —   OFFICIALS AND TEMPORARY STAFF

    Remarks

    Former Chapters 1 1 (in part) and 1 2

    1 2 0   Remuneration and other entitlements

    Remarks

    Former Articles 1 1 0, 1 1 3, 1 1 4, 1 1 5 (in part), 1 1 8 (in part) and 1 1 9 (in part)

    The appropriations in this article were calculated on the basis of the provisions of the Staff Regulations of officials and the Conditions of employment of other servants of the European Communities.

    1 2 0 0   Remuneration and allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    56 413 802

    55 014 678

    48 628 776,—

    Remarks

    New heading

    Former Articles 1 1 0, 1 1 3, 1 1 5 (in part), 1 1 8 (in part), 1 1 9 (in part) and former Items 1 1 4 0, 1 1 4 1, 1 1 4 4 and 1 1 4 9 (in part)

    A standard abatement of 3,5 % has been applied to this appropriation.

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This item is mainly intended to cover, for officials and temporary staff holding a post provided for in the establishment plan:

    salaries, allowances and payments related to salaries,

    insurance against sickness, accidents and occupational disease and other social security charges,

    the institution's contribution to the Joint Sickness Insurance Scheme,

    flat-rate overtime allowances,

    other allowances and grants, including the parental or family leave allowance,

    payment of travel expenses for officials or temporary staff, their spouses and dependants from their place of employment to their place of origin,

    the impact of salary weightings applicable to remuneration and to the part of emoluments transferred to a country other than the country of employment,

    unemployment insurance for temporary staff and payments by the institution to temporary staff in order to constitute or maintain their pension rights in their countries of origin,

    the severance payment of a probationer dismissed on grounds of manifest incompetence,

    the payment in respect of the termination by the institution of the contract of a temporary staff member.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 2 0 2   Paid overtime

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    102 500

    90 000

    88 264,—

    Remarks

    Former Article 1 1 5 (in part)

    Staff Regulations of officials of the European Communities, and in particular Article 56 thereof and Annex VI thereto.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover the payment of overtime under the conditions set out in the above-mentioned provisions.

    1 2 0 4   Entitlements in connection with entering the service, transfer and leaving the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 277 106

    1 167 286

    829 817,—

    Remarks

    Former Items 1 1 4 9 (in part), 1 1 8 1 (in part), 1 1 8 2 (in part), 1 1 8 3 (in part) and 1 1 8 4 (in part)

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    travel expenses due to officials and temporary staff (including their families) entering or leaving the service or being transferred to another place of employment,

    installation/resettlement allowances and removal expenses due to officials and temporary staff obliged to change their place of residence on taking up duty, on transfer to a new place of employment and on finally leaving the institution and resettling elsewhere,

    daily subsistence allowance for officials and temporary staff who furnish evidence that they must change their place of residence on taking up duty or transferring to a new place of employment,

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 2 2   Allowances upon early termination of service

    Remarks

    Former Articles 1 2 1, 1 2 3 (in part) and 1 2 9 (in part)

    1 2 2 0   Allowances for staff retired in the interests of the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Items 1 2 1 0 and 1 2 9 0 (in part) and former Article 1 2 3 (in part)

    Staff Regulations of officials of the European Communities, and in particular Articles 41 and 50 and Annex IV.

    This appropriation is intended to cover allowances due to officials:

    assigned non-active status in connection with action to reduce the number of posts in the institution,

    holding an AD 16 or AD 15 grade post who are retired in the interests of the service.

    It also covers the employer's contribution to sickness insurance and the impact of weightings applicable to these allowances.

    1 2 2 2   Allowances for staff whose service is terminated and special retirement scheme for officials and temporary staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Items 1 2 1 5, 1 2 9 0 (in part) and former Article 1 2 3 (in part)

    Staff Regulations of officials of the European Communities, and in particular Articles 64 and 72 thereof.

    This appropriation is intended to cover:

    the allowances payable under the Staff Regulations or the other regulations referred to above,

    the employer's contributions towards sickness insurance for the recipients of the allowances,

    the impact of the salary weightings applicable to the various allowances.

    1 2 9   Provisional appropriation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    633 241

    659 155

    0,—

    Remarks

    Former Items 1 1 9 1 (in part) and former Article 1 2 9

    Staff Regulations of officials of the European Communities, and in particular Article 65 thereof and Annex XI thereto.

    This appropriation is intended to cover the effects of any salary adjustments decided by the Council during the financial year.

    This appropriation is purely provisional and may only be used after its transfer to other headings in accordance with the Financial Regulation.

    CHAPTER 1 4 —   OTHER STAFF AND OUTSIDE SERVICES

    Remarks

    Former Chapters 1 1 (in part), 1 5, 1 8 (in part), 2 7 (in part) and 2 9

    1 4 0   Other staff and externals

    Remarks

    Former Articles 1 1 1, 1 5 2, 1 8 3 (in part), 1 8 9 (in part), 2 7 3 and 2 9 4

    1 4 0 0   Other staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 531 284

    1 552 086

    742 362,—

    Remarks

    Former Items 1 1 1 0, 1 1 1 1, 1 1 1 2, 1 1 1 3, 1 1 1 4, 1 1 1 5, 1 1 8 1 (in part), 1 1 8 4 (in part), 1 8 9 3, 1 8 9 5 and former Article 1 1 5 (in part)

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover the following expenditure:

    the remuneration of other staff including auxiliary, contract and local staff and special advisers (within the meaning of the Conditions of employment of other servants of the European Communities), employer's contributions to the various social security schemes and the impact of salary weightings applicable to the remuneration of these staff or the termination of contract allowance,

    fees of medical and paramedical staff paid under the arrangements for the provision of services and, in special cases, the employment of temporary agency staff,

    the remuneration and fees of conference operators and multimedia editors used during times of excessive workload or in special cases,

    flat-rate overtime allowances,

    the payment of overtime in accordance with the provisions of Article 56 of the Staff Regulations and Annex VII thereto,

    other allowances and grants, including the parental or family leave allowance,

    the payment in respect of the termination by the institution of the contract of a staff member.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 4 0 4   Graduate traineeships, grants and exchanges of officials

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    594 000

    671 896

    353 630,—

    Remarks

    Former Items 1 5 2 0, 1 5 2 1, 2 7 3 0, 2 7 3 3 and 2 9 4 0

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    an allowance, travel and mission expenses for trainees, and accident and sickness insurance during courses,

    expenditure arising from movements between the European Economic and Social Committee and the public sector in the Member States or other countries specified in the rules,

    the contribution, on a limited scale, to the realisation of research projects in the fields of activity of the European Economic and Social Committee which are of particular interest for European integration,

    the cost of programmes to inform young people in the European spirit.

    1 4 0 8   Entitlements in connection with entering the service, transfer and leaving the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Items 1 1 4 9 (in part), 1 1 8 1 (in part), 1 1 8 2 (in part), 1 1 8 3 (in part) and 1 1 8 4 (in part)

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    travel expenses due to staff (including their families) entering or leaving the service or being transferred to another place of employment,

    installation/resettlement allowances and removal expenses due to staff obliged to change their place of residence on taking up duty, on transfer to a new place of employment and on finally leaving the institution and resettling elsewhere,

    daily subsistence allowance for staff who furnish evidence that they must change their place of residence on taking up duty or transferring to a new place of employment,

    the difference between the contributions paid by staff to a Member State pension scheme and those paid to the Community scheme in the event of redefinition of a contract.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 4 2   Outside services

    Remarks

    Former Articles 1 8 3 (in part) et 1 8 9 (in part)

    1 4 2 0   Supplementary services for the translation service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    470 500

    662 000

    230 652,—

    Remarks

    Former Items 1 8 3 0 (in part) and 1 8 9 6

    This appropriation is intended to cover expenditure on work carried out by freelance or temporary translators and typing and other work sent out by the translation service. The European Economic and Social Committee always makes use of freelance translators whose names figure on the lists drawn up as a result of interinstitutional calls for tender.

    Expenditure on any work entrusted to the Translation Centre in Luxembourg and all interinstitutional cooperation activities in the language area are also covered by this item.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 4 2 2   Expert advice connected with consultative work

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    662 000

    648 000

    627 078,—

    Remarks

    Former Item 2 6 0 0

    This appropriation is intended to cover payments to European Economic and Social Committee experts under the current rules on reimbursement of transport costs and travel and meeting allowances.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 4 9   Provisional appropriation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Items 1 1 9 1 (in part) and 1 2 9 1

    Staff Regulations of officials of the European Communities, and in particular Article 65 thereof and Annex XI thereto.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover the effects of any salary adjustments decided by the Council during the financial year.

    This appropriation is purely provisional and may only be used after its transfer to other headings in accordance with the Financial Regulation.

    CHAPTER 1 6 —   OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    Remarks

    Former Chapters 1 3, 1 6 and 1 8 (in part)

    1 6 1   Expenditure relating to staff management

    Remarks

    Former Articles 1 8 2 and 1 8 8

    1 6 1 0   Expenditure on recruitment

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    95 000

    108 000

    58 381,—

    Remarks

    Former Item 1 8 8 0

    Staff Regulations of officials of the European Communities, and in particular Articles 27 to 31 and 33 and Annex III

    Decision 2002/620/EC of the European Parliament, the Council, the Commission, the Court of Justice, the Court of Auditors, the Economic and Social Committee, the Committee of the Regions and the European Ombudsman of 25 July 2002 establishing a European Communities Personnel Selection Office (OJ L 197, 26.7.2002, p. 53) and Decision 2002/621/EC of the Secretaries-General of the European Parliament, the Council, the Commission, the Registrar of the Court of Justice, the Secretaries-General of the Court of Auditors, the Economic and Social Committee, the Committee of the Regions and the Representative of the European Ombudsman of 25 July 2002 on the organisation and operation of the European Communities Personnel Selection Office (OJ L 197, 26.7.2002, p. 56).

    This appropriation is intended to cover:

    expenditure on organising the competitions provided for in Article 3 of Decision 2002/621/EC and travel and subsistence expenses for applicants called for interviews and medical examinations,

    the costs of organising procedures for selecting temporary, auxiliary and local staff.

    In cases duly justified by operational needs and after consultation of the European Communities Personnel Selection Office, the institution may use some of these appropriations to organise its own competitions.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 6 1 2   Further training

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    427 600

    350 290

    289 126,—

    Remarks

    Former Item 1 8 2 0

    Staff Regulations of officials of the European Communities, and in particular Article 24a thereof.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    the organisation of training and retraining courses as well as language courses, on an interinstitutional basis. Some of the appropriations may be used in duly justified cases to cover the organisation of courses within the institution,

    expenditure relating to the purchase or production of teaching materials and to the performance of specific studies by specialists for devising and implementing training programmes,

    professional training courses which raise awareness about matters concerning disabled people and training measures in connection with equal opportunities and careers advice, with particular reference to skill profiles,

    mission costs.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 6 2   Mission expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    450 000

    412 500

    261 587,—

    Remarks

    Former Article 1 3 0

    Staff Regulations of officials of the European Communities, and in particular Article 71 and Articles 11 to 13 of Annex VII.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover transport expenses, the payment of daily subsistence allowances and incidental or exceptional expenses incurred in carrying out a mission.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    1 6 3   Activities relating to all persons working with the institution

    Remarks

    Former Articles 1 4 1, 1 6 0, 1 6 4, 1 8 4, 1 8 6 and 1 8 7

    1 6 3 0   Social welfare

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    25 000

    50 000

    9 057,—

    Remarks

    Former Articles 1 6 0 and 1 6 4

    Staff Regulations of officials of the European Communities, and in particular the third paragraph of Article 9(3) and Article 76 thereof.

    This appropriation is intended to cover:

    for the following categories of disabled persons as part of an interinstitutional policy to assist the disabled:

    officials and temporary staff in active employment,

    spouses of officials and temporary staff in active employment,

    all dependent children within the meaning of the Staff Regulations of officials of the European Communities,

    the reimbursement, to the extent permitted by the budget and after national entitlements in the country of residence or the country of origin have been exhausted, of expenses (other than medical expenses) recognised as necessary, resulting from the handicap and supported by documentary evidence and not covered by the Joint Sickness Insurance Scheme,

    action taken in respect of officials and other servants in particularly difficult situations,

    the financing of a grant for the Staff Committee and incidental expenditure in the Welfare Service.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 6 3 2   Social contacts between members of staff and other social measures

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    69 600

    56 245

    36 614,—

    Remarks

    Former Article 1 8 7 and former Item 1 8 6 0

    This appropriation is intended to encourage and provide financial backing for schemes to promote social contact between staff of different nationalities, for example subsidies to staff clubs, sports associations, cultural societies, etc., and to make a contribution to the cost of a permanent leisure centre (cultural and sports activities, hobbies, restaurant).

    It also covers the European Economic and Social Committee's contribution towards the social, sporting, educational and cultural activities of the European Interinstitutional Centre at Overijse.

    This appropriation is also intended to cover aid to members of staff other than aid chargeable to other articles in this chapter (home help etc.).

    1 6 3 4   Medical service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    42 000

    39 000

    13 573,—

    Remarks

    Former Article 1 4 1

    Staff Regulations of officials of the European Communities, and in particular Article 59 and Article 8 of Annex II.

    This appropriation is intended to cover the operating costs of the medical service at the three places of work, including the purchase of materials and pharmaceutical products, etc., expenditure on preventive medical check-ups, expenditure arising from the operation of the Invalidity Committee and expenditure on services provided by outside medical specialists deemed necessary by the medical officers.

    It also covers expenditure involving the purchase of certain work tools deemed necessary on medical grounds.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 500.

    1 6 3 6   Restaurants and canteens

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Item 1 8 4 0

    This appropriation is intended to cover restaurant operating expenditure.

    1 6 3 8   Early Childhood Centre and approved day nurseries

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    511 644

    593 806

    247 664,—

    Remarks

    Former Item 1 8 6 3

    This appropriation is intended to cover the contributions of the European Economic and Social Committee to the costs of the Community nursery centre and other day nurseries and after-school centres.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation from parental contributions is estimated at EUR 10 000.

    TITLE 2

    BUILDINGS, FURNITURE, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 2 0

    2 0 0

    Buildings

    2 0 0 0

    Rent

     

     

     

    Non-differentiated appropriations

    1 680 000

    90 000

    58 125,—

    2 0 0 1

    Annual lease payments and similar expenditure

     

     

     

    Non-differentiated appropriations

    10 514 625

    9 750 000

    8 759 980,—

    2 0 0 3

    Purchase of premises

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    2 0 0 5

    Construction of buildings

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    2 0 0 7

    Fitting-out of premises

     

     

     

    Non-differentiated appropriations

    190 000

    470 000

    93 037,—

    2 0 0 8

    Other expenditure on buildings

     

     

     

    Non-differentiated appropriations

    33 000

    12 000

    3 443,—

    2 0 0 9

    Provisional appropriation to cover the institution's property investments

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    Article 2 0 0 — Total

    12 417 625

    10 322 000

    8 914 585,—

    2 0 2

    Other expenditure on buildings

    2 0 2 2

    Cleaning and maintenance

     

     

     

    Non-differentiated appropriations

    2 118 000

    2 820 000

    1 196 655,—

    2 0 2 4

    Energy consumption

     

     

     

    Non-differentiated appropriations

    891 000

    766 200

    571 571,—

    2 0 2 6

    Security and surveillance

     

     

     

    Non-differentiated appropriations

    2 386 393

    2 195 073

    1 995 965,—

    2 0 2 8

    Insurance

     

     

     

    Non-differentiated appropriations

    141 840

    133 200

    101 287,—

     

    Article 2 0 2 — Total

    5 537 233

    5 914 473

    3 865 478,—

     

    CHAPTER 2 0 — TOTAL

    17 954 858

    16 236 473

    12 780 063,—

     

    CHAPTER 2 1

    2 1 0

    Equipment, operating costs and services relating to data processing and telecommunications

    2 1 0 0

    Purchase, servicing and maintenance of equipment and software, and related work

     

     

     

    Non-differentiated appropriations

    1 225 861

    1 766 731

    988 032,—

    2 1 0 2

    Outside assistance in connection with the operation, development and maintenance of software systems

     

     

     

    Non-differentiated appropriations

    1 431 836

    723 633

    420 517,—

    2 1 0 3

    Telecommunications

     

     

     

    Non-differentiated appropriations

    577 575

    561 822

    404 892,—

     

    Article 2 1 0 — Total

    3 235 272

    3 052 186

    1 813 441,—

    2 1 2

    Furniture

     

     

     

    Non-differentiated appropriations

    108 000

    189 600

    76 693,—

    2 1 4

    Technical equipment and installations

     

     

     

    Non-differentiated appropriations

    1 184 620

    1 457 761

    610 928,—

    2 1 6

    Vehicles

     

     

     

    Non-differentiated appropriations

    86 825

    95 300

    44 244,—

     

    CHAPTER 2 1 — TOTAL

    4 614 717

    4 794 847

    2 545 306,—

     

    CHAPTER 2 3

    2 3 0

    Stationery, office supplies and miscellaneous consumables

     

     

     

    Non-differentiated appropriations

    289 680

    360 964

    138 740,—

    2 3 1

    Financial charges

     

     

     

    Non-differentiated appropriations

    10 000

    20 000

    4 051,—

    2 3 2

    Legal costs and damages

     

     

     

    Non-differentiated appropriations

    20 000

    20 000

    6 061,—

    2 3 6

    Postage on correspondence and delivery charges

     

     

     

    Non-differentiated appropriations

    335 000

    335 000

    267 973,—

    2 3 8

    Other administrative expenditure

     

     

     

    Non-differentiated appropriations

    102 902

    118 000

    72 819,—

     

    CHAPTER 2 3 — TOTAL

    757 582

    853 964

    489 644,—

     

    CHAPTER 2 5

    2 5 4

    Meetings, conferences, congresses, seminars and other events

    2 5 4 0

    Miscellaneous expenditure on internal meetings

     

     

     

    Non-differentiated appropriations

    170 000

    150 000

    109 995,—

    2 5 4 2

    Miscellaneous expenditure on the organisation of and participation in conferences, congresses and meetings

     

     

     

    Non-differentiated appropriations

    420 000

    420 000

    199 007,—

    2 5 4 4

    Costs of organising the work of the Consultative Commission on Industrial Change (CCMI)

     

     

     

    Non-differentiated appropriations

    77 848

    57 179

    4 560,—

    2 5 4 6

    Costs arising from the institution's entertainment and representation obligations

     

     

     

    Non-differentiated appropriations

    124 000

    124 000

    56 670,—

    2 5 4 8

    Interpreting

     

     

     

    Non-differentiated appropriations

    9 500 000  (142 143 144 145 146 147 148 149 150 151 162 163 164 165 166 167 168 176 177 178 179 180 186 187 190)

    8 550 000

    5 886 512,—

     

    Article 2 5 4 — Total

    10 291 848

    9 301 179

    6 256 744,—

     

    CHAPTER 2 5 — TOTAL

    10 291 848

    9 301 179

    6 256 744,—

     

    CHAPTER 2 6

    2 6 0

    Communication, information and publications

    2 6 0 0

    Communication

     

     

     

    Non-differentiated appropriations

    404 000

    246 000

    91 917,—

    2 6 0 2

    Publishing and promotion of publications

     

     

     

    Non-differentiated appropriations

    387 000

    540 800

    106 389,—

    2 6 0 4

    Official Journal

     

     

     

    Non-differentiated appropriations

    860 000

    756 000

    289 903,—

     

    Article 2 6 0 — Total

    1 651 000

    1 542 800

    488 209,—

    2 6 2

    Acquisition of information, documentation and archiving

    2 6 2 0

    Studies, research and hearings

     

     

     

    Non-differentiated appropriations

    100 000

    100 000

    2 030,—

    2 6 2 2

    Documentation and library

     

     

     

    Non-differentiated appropriations

    157 430

    184 700

    128 065,—

    2 6 2 4

    Archiving and related work

     

     

     

    Non-differentiated appropriations

    42 100

    44 500

    24 978,—

     

    Article 2 6 2 — Total

    299 530

    329 200

    155 073,—

     

    CHAPTER 2 6 — TOTAL

    1 950 530

    1 872 000

    643 282,—

     

    Title 2 — Total

    35 569 535

    33 058 463

    22 715 039,—

    CHAPTER 2 0 —

    BUILDINGS AND ASSOCIATED COSTS

    CHAPTER 2 1 —

    DATA PROCESSING, EQUIPMENT AND FURNITURE: PURCHASE, HIRE AND MAINTENANCE

    CHAPTER 2 3 —

    CURRENT ADMINISTRATIVE EXPENDITURE

    CHAPTER 2 5 —

    OPERATIONAL ACTIVITIES

    CHAPTER 2 6 —

    COMMUNICATION, PUBLICATIONS AND ACQUISITION OF DOCUMENTATION

    CHAPTER 2 0 —   BUILDINGS AND ASSOCIATED COSTS

    Remarks

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1) and in particular Article 60 thereof.

    Whenever the appropriation is intended to cover expenditure relating to purchase or the conclusion of a contract for the supply of equipment or the provision of services, the institution will consult the other institutions on the conditions which each has obtained.

    2 0 0   Buildings

    2 0 0 0   Rent

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 680 000

    90 000

    58 125,—

    Remarks

    This appropriation is intended to cover rent on buildings and rental charges for meetings held in buildings that are not occupied permanently.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 0 0 1   Annual lease payments and similar expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    10 514 625

    9 750 000

    8 759 980,—

    Remarks

    This appropriation is intended to cover annual lease payments and other similar expenditure owed by the institution in respect of its lease/purchase obligations.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 0 0 3   Purchase of premises

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Article 2 0 6

    This appropriation is intended to cover the purchase of premises. Subsidies for land and its servicing will be dealt with in accordance with the provisions of the Financial Regulation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 0 0 5   Construction of buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    New heading

    This item is intended to accommodate a possible appropriation for the construction of buildings.

    2 0 0 7   Fitting-out of premises

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    190 000

    470 000

    93 037,—

    Remarks

    Former Article 2 0 4

    This appropriation is intended to cover the performance of fitting-out work, including specific work such as cabling and security and restaurant-related work etc., as well as other expenditure connected with that work, in particular architects’ or engineers’ fees etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 0 0 8   Other expenditure on buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    33 000

    12 000

    3 443,—

    Remarks

    Former Articles 2 0 8 and 2 0 9

    This appropriation is intended to cover:

    expenditure on buildings not specifically provided for in the other articles in this chapter, in particular technical or architectural assistance in connection with studies and the preparation and monitoring of maintenance and other work in buildings,

    expenses for building adaptations required by disabled employees and disabled visitors to the Committee of the Regions as identified by a disabled access audit, which has already been agreed,

    public-utility service charges.

    2 0 0 9   Provisional appropriation to cover the institution's property investments

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    New item

    This appropriation is intended to cover any property investments made by the institution.

    This appropriation is purely provisional and may only be used after its transfer to other headings in accordance with the Financial Regulation.

    2 0 2   Other expenditure on buildings

    2 0 2 2   Cleaning and maintenance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 118 000

    2 820 000

    1 196 655,—

    Remarks

    Former Article 2 0 3

    This appropriation is intended to cover the cost of maintaining premises, lifts, heating and air-conditioning systems and fire doors, as well as rat extermination, repainting and repair work, and maintaining the external appearance of buildings and their environment, including the cost of studies, analyses, authorisations, compliance with Eco-Management and Audit scheme (EMAS) standards, etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 5 000.

    2 0 2 4   Energy consumption

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    891 000

    766 200

    571 571,—

    Remarks

    Former Article 2 0 2

    This appropriation is intended to cover, in particular, water, gas, electricity and heating costs.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 0 2 6   Security and surveillance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    2 386 393

    2 195 073

    1 995 965,—

    Remarks

    Former Article 2 0 5

    This appropriation is intended to cover essentially the costs of caretaking and surveillance in respect of buildings.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 0 2 8   Insurance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    141 840

    133 200

    101 287,—

    Remarks

    Former Article 2 0 1

    This appropriation is intended to cover payments in respect of insurance policy premiums.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    CHAPTER 2 1 —   DATA PROCESSING, EQUIPMENT AND FURNITURE: PURCHASE, HIRE AND MAINTENANCE

    Remarks

    Former Chapters 2 1, 2 2 (in part) and 2 4 (in part)

    Whenever the appropriation is intended to cover expenditure relating to purchase or the conclusion of a contract for the supply of equipment or the provision of services, the institution will consult the other institutions on the conditions which each has obtained.

    2 1 0   Equipment, operating costs and services relating to data processing and telecommunications

    Remarks

    Former Articles 2 1 1, 2 1 4 and 2 4 1

    2 1 0 0   Purchase, servicing and maintenance of equipment and software, and related work

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 225 861

    1 766 731

    988 032,—

    Remarks

    Former Article 2 1 1 (in part)

    This appropriation is intended to cover expenditure on the purchase, hire, servicing and maintenance of equipment and software for the institution, and related work.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 1 0 2   Outside assistance in connection with the operation, development and maintenance of software systems

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 431 836

    723 633

    420 517,—

    Remarks

    Former Article 2 1 4

    This appropriation is intended to cover the cost of outside assistance from service bureaux and data-processing consultants in connection with the operation of the data-processing centre and the network, the production and maintenance of applications, support for users, including Members, the carrying out of studies, and the drawing-up and input of technical documentation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 1 0 3   Telecommunications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    577 575

    561 822

    404 892,—

    Remarks

    Former Article 2 4 1

    This appropriation is intended to cover wired and wireless telecommunication subscriptions and charges (fixed-line and mobile telephony, television), as well as costs incurred in connection with data transmission networks and telematic services. It also covers the co-financing of equipment provided to members and delegates enabling them to receive Committee documents electronically.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 1 2   Furniture

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    108 000

    189 600

    76 693,—

    Remarks

    Former Article 2 2 1

    This appropriation is intended to cover the purchase, hire, maintenance and repair of furniture, including the purchase of ergonomic furniture, the replacement of worn-out and broken furniture and office machines.

    In connection with works of art, this appropriation is intended to cover both the cost of acquiring and purchasing specific material and the current expenditure relating thereto, including framing, restoration, cleaning, insurance and ad hoc transport costs.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 5 000.

    2 1 4   Technical equipment and installations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 184 620

    1 457 761

    610 928,—

    Remarks

    Former Article 2 2 0

    This appropriation is intended to cover the purchase, hire, maintenance and repair of technical equipment and installations, and in particular of:

    miscellaneous fixed and mobile technical installations and equipment in connection with publishing, archiving, security, canteens and buildings etc.,

    equipment in particular for the printshop, archives, telephone service, canteens, staff shops, security, conferences, the audiovisual sector etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 35 000.

    2 1 6   Vehicles

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    86 825

    95 300

    44 244,—

    Remarks

    Former Article 2 2 3

    This appropriation is intended to cover the purchase, maintenance, use and repair of vehicles (fleet of cars and bicycles) and the hire of cars, taxis, coaches and lorries, with or without drivers, including the necessary insurance cover.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 4 000.

    CHAPTER 2 3 —   CURRENT ADMINISTRATIVE EXPENDITURE

    2 3 0   Stationery, office supplies and miscellaneous consumables

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    289 680

    360 964

    138 740,—

    Remarks

    This appropriation is intended to cover the costs of purchasing paper, envelopes, office supplies, products required by the printing and duplicating shops and the cost of some outside printing work.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    2 3 1   Financial charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    10 000

    20 000

    4 051,—

    Remarks

    Former Article 2 3 2

    This appropriation is intended to cover bank charges (commission, agios and miscellaneous charges) and other financial charges, including ancillary costs for the financing of buildings.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    2 3 2   Legal costs and damages

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    20 000

    20 000

    6 061,—

    Remarks

    Former Articles 2 3 3 and 2 3 4

    This appropriation is intended to cover:

    all costs deriving from the Committee's involvement in cases before the Community and national courts, the cost of legal services, the purchase of legal works and equipment, and any other legal, court or out-of-court expenses to which the Legal Service contributes,

    damages, interest and any debts within the meaning of Article 8(3) of the Financial Regulation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 3 6   Postage on correspondence and delivery charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    335 000

    335 000

    267 973,—

    Remarks

    Former Article 2 4 0

    This appropriation is intended to cover charges for postage, processing and delivery by the postal services or private delivery firms.

    2 3 8   Other administrative expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    102 902

    118 000

    72 819,—

    Remarks

    Former Items 2 3 5 0, 2 3 5 1, 2 3 5 3 and 2 3 5 9

    This appropriation is intended to cover:

    insurance not specifically provided for in another item,

    the purchase and maintenance of uniforms for ushers, drivers and removal men, medical services and various technical services,

    all removal and handling expenses and those incurred by using removal firms or by using the services of interim handling agents,

    miscellaneous operating expenses, such as for the purchase of railway and flight timetables, the publication of notices of sales of second-hand equipment in newspapers etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 500.

    CHAPTER 2 5 —   OPERATIONAL ACTIVITIES

    2 5 4   Meetings, conferences, congresses, seminars and other events

    Remarks

    Former Articles 1 7 0, 2 5 2 (in part), 2 5 5 and former Items 1 8 9 1 and 2 3 5 2

    2 5 4 0   Miscellaneous expenditure on internal meetings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    170 000

    150 000

    109 995,—

    Remarks

    Former Item 2 3 5 2

    This appropriation is intended to cover the cost of drinks and, occasionally, of snacks and working meals at internal meetings.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 5 4 2   Miscellaneous expenditure on the organisation of and participation in conferences, congresses and meetings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    420 000

    420 000

    199 007,—

    Remarks

    Former Article 2 5 5

    This appropriation is intended to cover expenses, including representation and logistical expenses, connected with (a) the attendance by European Economic and Social Committee delegates at congresses, conferences, seminars, symposia, etc. and (b) the organisation by the European Economic and Social Committee of hearings and both general and specific conferences and meetings (including overall contributions in the event that these events are co-organised with third parties and expenses connected with contracting out).

    It also covers all expenditure incurred in the organisation of meetings between the European Economic and Social Committee and its counterparts (including socioeconomic interest groups) from both the EU and non-member countries.

    This appropriation also covers expenditure incurred as a result of (a) visits to the European Economic and Social Committee by delegations from socioprofessional interest groups in third countries and (b) the activities of the Association of former Committee members.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 250 000.

    2 5 4 4   Costs of organising the work of the Consultative Commission on Industrial Change (CCMI)

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    77 848

    57 179

    4 560,—

    Remarks

    Former Article 2 5 2 (in part)

    This appropriation is intended to cover the operating expenses of the Consultative Commission on Industrial Change (CCMI), excluding European Economic and Social Committee members’ and CCMI delegates’ travel expenses and allowances.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 5 4 6   Costs arising from the institution's entertainment and representation obligations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    124 000

    124 000

    56 670,—

    Remarks

    Former Article 1 7 0

    This appropriation is intended to cover expenses related to the obligations of the institution regarding entertainment and representation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 5 4 8   Interpreting

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    9 500 000  (191)

    8 550 000

    5 886 512,—

    Remarks

    Former Item 1 8 9 1

    This appropriation is intended to cover expenditure on the services of interpreters (either freelance or made available by another institution) provided to the Committee, including their fees, travel expenses and subsistence allowances.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    CHAPTER 2 6 —   COMMUNICATION, PUBLICATIONS AND ACQUISITION OF DOCUMENTATION

    2 6 0   Communication, information and publications

    Remarks

    Former Articles 2 7 0, 2 7 1 and 2 7 2

    2 6 0 0   Communication

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    404 000

    246 000

    91 917,—

    Remarks

    Former Items 2 7 2 0 and 2 7 2 5

    This appropriation is intended to cover the Committee's communication and information expenses, whether relating to the objectives and activities of the Committee, information activities aimed at the general public or socio-occupational organisations, media coverage of conferences, congresses and seminars, or the organisation and media coverage of major public events, cultural initiatives or any other of the Committee's various events, including the organised civil society prize. It also covers all materials, services, consumables and supplies connected with these events.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 6 0 2   Publishing and promotion of publications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    387 000

    540 800

    106 389,—

    Remarks

    Former Article 2 7 1

    This appropriation is intended to cover the European Economic and Social Committee's publication costs on all media to promote publications and general information.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 50 000.

    2 6 0 4   Official Journal

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    860 000

    756 000

    289 903,—

    Remarks

    Former Article 2 7 0

    This appropriation is intended to cover printing expenses for publications in the Official Journal of the European Union, as well as postage and associated costs.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 125 000.

    2 6 2   Acquisition of information, documentation and archiving

    2 6 2 0   Studies, research and hearings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    100 000

    100 000

    2 030,—

    Remarks

    Former Item 2 6 0 1

    This appropriation is intended to cover the cost of hearings of experts in specific fields and studies contracted out to experts and research institutes.

    2 6 2 2   Documentation and library

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    157 430

    184 700

    128 065,—

    Remarks

    Former Items 2 2 5 0, 2 2 5 1, 2 2 5 2 and 2 2 5 3

    This appropriation is intended to cover:

    the expansion and renewal of the general reference section and the updating of the library's collection,

    subscriptions to newspapers, periodicals, information agencies, their publications and online services, including copyright fees for the copying and distribution in print or electronic form of these publications, and service contracts for press reviews and cuttings,

    subscriptions or service contracts for the provision of summaries and analyses of the content of periodicals or the storage on optical media of articles extracted from these periodicals,

    the costs of using external documentary and statistical databases, excluding information technology equipment and telecommunication costs,

    costs arising from obligations undertaken by the European Economic and Social Committee in the framework of international and/or interinstitutional cooperation,

    the purchase or hire of special equipment, including electric, electronic and IT library, documentation and multimedia equipment and systems, as well as external services for the acquisition, development, installation, use and maintenance of this equipment and these systems,

    the cost of services connected with the activities of the library, including those provided for its users (searches, analyses), the quality management system etc.,

    binding and conservation materials and work for the library, documentation service and multimedia resource centre,

    the cost, including materials, of internal publications (brochures, studies etc.) and communication (newsletters, videos, CD-ROMs etc.),

    the purchase of dictionaries, glossaries and other works for the language service.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 500.

    2 6 2 4   Archiving and related work

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    42 100

    44 500

    24 978,—

    Remarks

    Former Items 2 2 5 4 and 1 8 9 5 (in part)

    This appropriation is intended to cover:

    the cost of binding the Official Journal of the European Union and various brochures,

    the cost of external archiving services, including sorting, filing and refiling, the cost of archiving services, the acquisition and use of archive materials on back-up media (microfilm, disk, cassette etc.), as well as the purchase, hire and maintenance of special materials (electric, electronic, IT) and the cost of publishing on all media (brochures, CD-ROMs etc.).

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 500.

    TITLE 10

    OTHER EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 10 0

    300 000

    p.m.

    p.m.

     

    CHAPTER 10 0 — TOTAL

    300 000

    p.m.

    p.m.

     

    CHAPTER 10 1

    p.m.

    p.m.

    p.m.

     

    CHAPTER 10 1 — TOTAL

    p.m.

    p.m.

    p.m.

     

    CHAPTER 10 2

    p.m.

    p.m.

    p.m.

     

    CHAPTER 10 2 — TOTAL

    p.m.

    p.m.

    p.m.

     

    Title 10 — Total

    300 000

    p.m.

    p.m.

     

    GRAND TOTAL

    112 694 342

    107 984 805

    87 318 951,—

    CHAPTER 10 0 —

    PROVISIONAL APPROPRIATIONS

    CHAPTER 10 1 —

    CONTINGENCY RESERVE

    CHAPTER 10 2 —

    RESERVE TO PROVIDE FOR THE TAKEOVER OF BUILDINGS

    CHAPTER 10 0 —   PROVISIONAL APPROPRIATIONS

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    300 000

    p.m.

    p.m.

    Remarks

    Item

    2 5 4 8

    Interpreting

    300 000

     

     

    Total

    300 000

    CHAPTER 10 1 —   CONTINGENCY RESERVE

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    p.m.

    CHAPTER 10 2 —   RESERVE TO PROVIDE FOR THE TAKEOVER OF BUILDINGS

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    p.m.

    SECTION VII

    COMMITTEE OF THE REGIONS

    REVENUE

    Contribution of the European Communities to the financing of the expenditure of the Committee of the Regions for the financial year 2007

    Heading

    Amount

    Expenditure

    67 099 232

    Own resources

    –5 483 219

    Contribution due

    61 616 013

    OWN RESOURCES

    TITLE 4

    REVENUE ACCRUING FROM PERSONS WORKING WITH THE INSTITUTIONS AND OTHER COMMUNITY BODIES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 4 0

    4 0 0

    Proceeds from taxation on the salaries, wages and allowances of Members of the institution, officials, other servants and recipients of pensions

    2 448 485

    2 401 342

    2 095 830,39

    4 0 1

    Staff contributions to the pension scheme

    p.m.

    p.m.

    0,—

    4 0 3

    Proceeds of the temporary contribution from the salaries of Members of the institution, officials and other servants in active employment

    p.m.

    p.m.

    89,29

    4 0 4

    Proceeds from the special levy on the salaries of Members of the institutions, officials and other servants in active employment

    213 840

    244 280

    183 067,18

     

    CHAPTER 4 0 — TOTAL

    2 662 325

    2 645 622

    2 278 986,86

     

    CHAPTER 4 1

    4 1 0

    Staff contributions to the pension scheme

    2 720 894

    2 405 535

    2 312 551,81

    4 1 1

    Transfer or purchase of pension rights by staff

    p.m.

    p.m.

    675 282,08

    4 1 2

    Contributions to the pension scheme by officials and temporary staff on leave on personal grounds

    p.m.

    p.m.

    0,—

     

    CHAPTER 4 1 — TOTAL

    2 720 894

    2 405 535

    2 987 833,89

     

    Title 4 — Total

    5 383 219

    5 051 157

    5 266 820,75

    CHAPTER 4 0 —

    MISCELLANEOUS TAXES AND DEDUCTIONS

    CHAPTER 4 1 —

    CONTRIBUTIONS TO THE PENSION SCHEME

    CHAPTER 4 0 —   MISCELLANEOUS TAXES AND DEDUCTIONS

    4 0 0   Proceeds from taxation on the salaries, wages and allowances of Members of the institution, officials, other servants and recipients of pensions

    Financial year 2007

    Financial year 2006

    Financial year 2005

    2 448 485

    2 401 342

    2 095 830,39

    Remarks

    Protocol on the privileges and immunities of the European Communities, and in particular Article 13 thereof.

    Council Regulation (EEC, Euratom, ECSC) No 260/68 of 29 February 1968 laying down the conditions and procedure for applying the tax for the benefit of the European Communities (OJ L 56, 4.3.1968, p. 8) as last amended by Regulation (EC, Euratom) No 1750/2002 (OJ L 264, 2.10.2002, p. 15).

    4 0 1   Staff contributions to the pension scheme

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 83(2) thereof.

    4 0 3   Proceeds of the temporary contribution from the salaries of Members of the institution, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    89,29

    Remarks

    Council Regulation (ECSC, EEC, Euratom) No 3831/91 of 19 December 1991 amending the Staff Regulations of officials and the Conditions of employment of other servants of the European Communities with a view to introducing a temporary contribution (OJ L 361, 31.12.1991, p. 7).

    4 0 4   Proceeds from the special levy on the salaries of Members of the institutions, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    213 840

    244 280

    183 067,18

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 66a thereof.

    CHAPTER 4 1 —   CONTRIBUTIONS TO THE PENSION SCHEME

    4 1 0   Staff contributions to the pension scheme

    Financial year 2007

    Financial year 2006

    Financial year 2005

    2 720 894

    2 405 535

    2 312 551,81

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 83(2) thereof.

    4 1 1   Transfer or purchase of pension rights by staff

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    675 282,08

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 11(2) and Articles 17 and 48 of Annex VIII.

    4 1 2   Contributions to the pension scheme by officials and temporary staff on leave on personal grounds

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Articles 40(3) and Article 83(2) thereof.

    Conditions of employment of other servants of the European Communities, and in particular Articles 41 and 43 thereof.

    TITLE 5

    REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTION

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 5 0

    5 0 0

    Proceeds from the sale of movable property

    5 0 0 0

    Proceeds from the sale of vehicles — Assigned revenue

    p.m.

    p.m.

    0,—

    5 0 0 1

    Proceeds from the sale of other movable property — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 5 0 0 — Total

    p.m.

    p.m.

    0,—

    5 0 2

    Proceeds from the sale of publications, printed works and films — Assigned revenue

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 0 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 1

    5 1 0

    Proceeds from the hiring-out of furniture and equipment — Assigned revenue

    p.m.

    p.m.

    0,—

    5 1 1

    Proceeds from letting of immovable property and charges connected with lettings

    5 1 1 0

    Proceeds from letting and subletting immovable property — Assigned revenue

    p.m.

    p.m.

    0,—

    5 1 1 1

    Reimbursement of charges connected with lettings — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 5 1 1 — Total

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 1 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 2

    5 2 0

    Revenue from investments or loans granted, bank and other interest on the institution's accounts

    100 000

    100 000

    80 766,46

    5 2 2

    Interest from pre-financing

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 2 — TOTAL

    100 000

    100 000

    80 766,46

     

    CHAPTER 5 5

    5 5 0

    Proceeds from the supply of services and works for other institutions or bodies, including refunds by other institutions or bodies of mission allowances paid on their behalf — Assigned revenue

    p.m.

    p.m.

    0,—

    5 5 1

    Revenue from third parties in respect of services or work supplied at their request — Assigned revenue

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 5 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 7

    5 7 0

    Revenue arising from the repayment of amounts wrongly paid — Assigned revenue

    p.m.

    p.m.

    0,—

    5 7 1

    Revenue earmarked for a specific purpose, such as income from foundations, subsidies, gifts and bequests, including the earmarked revenue specific to the institution — Assigned revenue

    p.m.

    p.m.

    0,—

    5 7 3

    Other contributions and refunds in connection with the administrative operation of the institution — Assigned revenue

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 7 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 8

    5 8 0

    Revenue arising from indemnities connected with renting — Assigned revenue

    p.m.

    p.m.

    0,—

    5 8 1

    Revenue from insurance payments received — Assigned revenue

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 8 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 5 9

    5 9 0

    Other revenue from administrative operations

    p.m.

    p.m.

    46 326,61

     

    CHAPTER 5 9 — TOTAL

    p.m.

    p.m.

    46 326,61

     

    Title 5 — Total

    100 000

    100 000

    127 093,07

    CHAPTER 5 0 —

    PROCEEDS FROM THE SALE OF MOVABLE AND IMMOVABLE PROPERTY

    CHAPTER 5 1 —

    PROCEEDS FROM LETTING AND HIRING

    CHAPTER 5 2 —

    REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST

    CHAPTER 5 5 —

    REVENUE FROM THE SUPPLY OF SERVICES AND WORKS

    CHAPTER 5 7 —

    OTHER CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS

    CHAPTER 5 8 —

    MISCELLANEOUS COMPENSATION

    CHAPTER 5 9 —

    OTHER REVENUE FROM ADMINISTRATIVE OPERATIONS

    CHAPTER 5 0 —   PROCEEDS FROM THE SALE OF MOVABLE AND IMMOVABLE PROPERTY

    5 0 0   Proceeds from the sale of movable property

    5 0 0 0   Proceeds from the sale of vehicles — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    This item is intended to record revenue from the sale or part-exchange of vehicles belonging to the institution.

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 0 1   Proceeds from the sale of other movable property — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    This item is intended to record revenue from the sale or part-exchange of movable property, other than vehicles, belonging to the institution.

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 0 2   Proceeds from the sale of publications, printed works and films — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    This article shall also include the proceeds of the sale of these products by electronic means.

    CHAPTER 5 1 —   PROCEEDS FROM LETTING AND HIRING

    5 1 0   Proceeds from the hiring-out of furniture and equipment — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 1 1   Proceeds from letting of immovable property and charges connected with lettings

    5 1 1 0   Proceeds from letting and subletting immovable property — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 1 1 1   Reimbursement of charges connected with lettings — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 2 —   REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST

    5 2 0   Revenue from investments or loans granted, bank and other interest on the institution's accounts

    Financial year 2007

    Financial year 2006

    Financial year 2005

    100 000

    100 000

    80 766,46

    Remarks

    This article is intended to cover revenue from investments or loans granted, bank and other interest on the institution's accounts.

    5 2 2   Interest from pre-financing

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    This article is intended to record revenue from interest on pre-financing.

    CHAPTER 5 5 —   REVENUE FROM THE SUPPLY OF SERVICES AND WORKS

    5 5 0   Proceeds from the supply of services and works for other institutions or bodies, including refunds by other institutions or bodies of mission allowances paid on their behalf — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 5 1   Revenue from third parties in respect of services or work supplied at their request — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18(1)(e) of the Financial Regulation, from 2003 this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the headings which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 7 —   OTHER CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTIONS

    5 7 0   Revenue arising from the repayment of amounts wrongly paid — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 7 1   Revenue earmarked for a specific purpose, such as income from foundations, subsidies, gifts and bequests, including the earmarked revenue specific to the institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 7 3   Other contributions and refunds in connection with the administrative operation of the institution — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    CHAPTER 5 8 —   MISCELLANEOUS COMPENSATION

    5 8 0   Revenue arising from indemnities connected with renting — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    5 8 1   Revenue from insurance payments received — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    In accordance with Article 18 of the Financial Regulation, this revenue is to be considered as assigned revenue and gives rise to the entry of additional appropriations in the lines which bore the initial expenditure giving rise to the corresponding revenue.

    This article also includes reimbursement by insurance companies of the salaries of officials involved in accidents.

    CHAPTER 5 9 —   OTHER REVENUE FROM ADMINISTRATIVE OPERATIONS

    5 9 0   Other revenue from administrative operations

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    46 326,61

    Remarks

    This article is intended to record other revenue from administrative operations.

    TITLE 9

    MISCELLANEOUS REVENUE

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 9 0

    9 0 0

    Miscellaneous revenue

    p.m.

    p.m.

    0,—

     

    CHAPTER 9 0 — TOTAL

    p.m.

    p.m.

    0,—

     

    Title 9 — Total

    p.m.

    p.m.

    0,—

     

    GRAND TOTAL

    5 483 219

    5 151 157

    5 393 913,82

    CHAPTER 9 0 —

    MISCELLANEOUS REVENUE

    CHAPTER 9 0 —   MISCELLANEOUS REVENUE

    9 0 0   Miscellaneous revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    This article is intended to record miscellaneous revenue.

    EXPENDITURE

    General summary of appropriations (2007 and 2006) and outturn (2005)

    Title

    Chapter

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1

    PERSONS WORKING WITH THE INSTITUTION

    1 0

    MEMBERS OF THE INSTITUTION

    6 239 500

    5 681 500

    5 214 567,90

    1 2

    OFFICIALS AND TEMPORARY STAFF

    35 331 794

    32 259 915

    29 737 164,60

    1 4

    OTHER STAFF AND OUTSIDE SERVICES

    6 267 809

    6 284 500

    5 021 389,39

    1 6

    OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    1 172 000

    950 000

    801 301,27

     

    Title 1 — Total

    49 011 103

    45 175 915

    40 774 423,16

    2

    BUILDINGS, FURNITURE, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    2 0

    BUILDINGS AND ASSOCIATED COSTS

    11 268 798

    10 782 982

    11 551 457,75

    2 1

    DATA PROCESSING, EQUIPMENT AND FURNITURE: PURCHASE, HIRE AND MAINTENANCE

    3 006 001

    3 023 449

    2 458 491,—

    2 3

    CURRENT ADMINISTRATIVE EXPENDITURE

    577 020

    645 770

    432 333,59

    2 5

    MEETINGS AND CONFERENCES

    784 000

    918 000

    649 321,94

    2 6

    EXPERTISE AND INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISSEMINATION

    2 452 310

    2 816 554

    1 650 578,19

     

    Title 2 — Total

    18 088 129

    18 186 755

    16 742 182,47

    10

    OTHER EXPENDITURE

    10 0

    PROVISIONAL APPROPRIATIONS

    p.m.

    p.m.

    0,—

    10 1

    CONTINGENCY RESERVE

    p.m.

    p.m.

    0,—

    10 2

    RESERVE TO PROVIDE FOR THE TAKEOVER OF BUILDINGS

    p.m.

    p.m.

    0,—

     

    Title 10 — Total

    p.m.

    p.m.

    0,—

     

    GRAND TOTAL

    67 099 232

    63 362 670

    57 516 605,63

    TITLE 1

    PERSONS WORKING WITH THE INSTITUTION

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 1 0

    1 0 0

    Salaries, allowances and payments

    1 0 0 0

    Salaries, allowances and payments

     

     

     

    Non-differentiated appropriations

    109 000

    119 000

    86 079,84

    1 0 0 4

    Travel and subsistence allowances, attendance at meetings and associated expenditure

     

     

     

    Non-differentiated appropriations

    6 080 000

    5 500 000

    5 096 488,06

     

    Article 1 0 0 — Total

    6 189 000

    5 619 000

    5 182 567,90

    1 0 5

    Courses for Members of the institution

     

     

     

    Non-differentiated appropriations

    50 500

    62 500

    32 000,—

     

    CHAPTER 1 0 — TOTAL

    6 239 500

    5 681 500

    5 214 567,90

     

    CHAPTER 1 2

    1 2 0

    Remuneration and other entitlements

    1 2 0 0

    Remuneration and allowances

     

     

     

    Non-differentiated appropriations

    34 356 496

    31 326 377

    28 611 934,93

    1 2 0 2

    Paid overtime

     

     

     

    Non-differentiated appropriations

    79 200

    82 000

    82 552,87

    1 2 0 4

    Entitlements in connection with entering the service, transfer and leaving the service

     

     

     

    Non-differentiated appropriations

    538 130

    497 149

    1 042 676,80

     

    Article 1 2 0 — Total

    34 973 826

    31 905 526

    29 737 164,60

    1 2 2

    Allowances upon early termination of service

    1 2 2 0

    Allowances for staff retired in the interests of the service

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 2 2 2

    Allowances for staff whose service is terminated and special retirement scheme for officials and temporary staff

     

     

     

    Non-differentiated appropriations

    500

    p.m.

    0,—

     

    Article 1 2 2 — Total

    500

    p.m.

    0,—

    1 2 9

    Provisional appropriation

     

     

     

    Non-differentiated appropriations

    357 468

    354 389

    0,—

     

    CHAPTER 1 2 — TOTAL

    35 331 794

    32 259 915

    29 737 164,60

     

    CHAPTER 1 4

    1 4 0

    Other staff and externals

    1 4 0 0

    Other staff

     

     

     

    Non-differentiated appropriations

    1 789 500

    1 262 500

    1 250 763,70

    1 4 0 2

    Interpreter services

     

     

     

    Non-differentiated appropriations

    3 549 697

    3 808 000

    3 125 000,—

    1 4 0 4

    Graduate traineeships, grants and exchanges of officials

     

     

     

    Non-differentiated appropriations

    435 712

    327 000

    245 934,89

    1 4 0 8

    Entitlements in connection with entering the service, transfer and leaving the service

     

     

     

    Non-differentiated appropriations

    86 400

    p.m.

    0,—

     

    Article 1 4 0 — Total

    5 861 309

    5 397 500

    4 621 698,59

    1 4 2

    Outside services

    1 4 2 0

    Supplementary services for the translation service

     

     

     

    Non-differentiated appropriations

    120 500

    458 000

    174 467,75

    1 4 2 2

    Expert advice connected with consultative work

     

     

     

    Non-differentiated appropriations

    286 000

    429 000

    225 223,05

     

    Article 1 4 2 — Total

    406 500

    887 000

    399 690,80

    1 4 9

    Provisional appropriation

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    CHAPTER 1 4 — TOTAL

    6 267 809

    6 284 500

    5 021 389,39

     

    CHAPTER 1 6

    1 6 1

    Expenditure relating to staff management

    1 6 1 0

    Miscellaneous expenditure on recruitment

     

     

     

    Non-differentiated appropriations

    75 000

    125 000

    55 028,71

    1 6 1 2

    Further training, retraining and information for staff

     

     

     

    Non-differentiated appropriations

    260 000

    225 000

    180 890,20

     

    Article 1 6 1 — Total

    335 000

    350 000

    235 918,91

    1 6 2

    Staff mission costs

     

     

     

    Non-differentiated appropriations

    390 000

    330 000

    390 334,66

    1 6 3

    Activities relating to all persons working with the institution

    1 6 3 0

    Social welfare

     

     

     

    Non-differentiated appropriations

    40 000

    20 000

    0,—

    1 6 3 2

    Social contacts between members of staff and other social measures

     

     

     

    Non-differentiated appropriations

    31 000

    29 000

    17 271,20

    1 6 3 4

    Medical service

     

     

     

    Non-differentiated appropriations

    26 000

    21 000

    17 992,50

    1 6 3 6

    Running costs of restaurants and canteens

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 6 3 8

    Early Childhood Centre and approved day nurseries

     

     

     

    Non-differentiated appropriations

    350 000

    200 000

    139 784,—

     

    Article 1 6 3 — Total

    447 000

    270 000

    175 047,70

     

    CHAPTER 1 6 — TOTAL

    1 172 000

    950 000

    801 301,27

     

    Title 1 — Total

    49 011 103

    45 175 915

    40 774 423,16

    CHAPTER 1 0 —

    MEMBERS OF THE INSTITUTION

    CHAPTER 1 2 —

    OFFICIALS AND TEMPORARY STAFF

    CHAPTER 1 4 —

    OTHER STAFF AND OUTSIDE SERVICES

    CHAPTER 1 6 —

    OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    CHAPTER 1 0 —   MEMBERS OF THE INSTITUTION

    1 0 0   Salaries, allowances and payments

    1 0 0 0   Salaries, allowances and payments

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    109 000

    119 000

    86 079,84

    Remarks

    Former Items 1 0 0 0, 1 0 0 3, 1 0 0 5, 1 0 0 6 and former Article 1 0 1

    This appropriation is intended to cover salaries, allowances and payments related to salaries for Members of the Committee of the Regions, including the sickness and accident insurance premiums and specific assistance to disabled members.

    1 0 0 4   Travel and subsistence allowances, attendance at meetings and associated expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    6 080 000

    5 500 000

    5 096 488,06

    Remarks

    This appropriation is intended to cover payments to Committee of the Regions members and their alternates under the current rules on reimbursement of transport costs and travel and meeting allowances.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    1 0 5   Courses for Members of the institution

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    50 500

    62 500

    32 000,—

    Remarks

    Former Article 1 0 6

    This appropriation is intended to subsidise part of the registration fees for language courses or other vocational training seminars attended by members of the Committee of the Regions.

    CHAPTER 1 2 —   OFFICIALS AND TEMPORARY STAFF

    1 2 0   Remuneration and other entitlements

    1 2 0 0   Remuneration and allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    34 356 496

    31 326 377

    28 611 934,93

    Remarks

    Former Articles 1 1 0, 1 1 3, 1 1 5 (in part) and former Items 1 1 4 0, 1 1 4 1, 1 1 4 3, 1 1 4 4, 1 1 4 5, 1 1 4 9 (in part) and 1 1 9 0

    A standard abatement of 4 % has been applied to the appropriation.

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This item is mainly intended to cover, for officials and temporary staff holding a post provided for in the establishment plan:

    salaries, allowances and payments related to salaries,

    insurance against sickness, accidents and occupational disease and other social security charges,

    the institution's contribution to the Joint Sickness Insurance Scheme,

    flat-rate overtime allowances,

    miscellaneous allowances and grants,

    payment of travel expenses for officials or temporary staff, their spouses and dependants from their place of employment to their place of origin,

    the impact of salary weightings applicable to remuneration and to the part of emoluments transferred to a country other than the country of employment,

    unemployment insurance for temporary staff and payments by the institution to temporary staff in order to constitute or maintain their pension rights in their countries of origin,

    the severance payment of a probationer dismissed on grounds of manifest incompetence,

    the payment in respect of the termination by the institution of the contract of a temporary staff member.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 2 0 2   Paid overtime

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    79 200

    82 000

    82 552,87

    Remarks

    Former Article 1 1 5 (in part)

    Staff Regulations of officials of the European Communities, and in particular Article 56 thereof and Annex VI thereto.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover the payment of overtime under the conditions set out in the above-mentioned provisions.

    1 2 0 4   Entitlements in connection with entering the service, transfer and leaving the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    538 130

    497 149

    1 042 676,80

    Remarks

    Former Items 1 1 4 9 (in part), 1 1 8 1 (in part), 1 1 8 2 (in part), 1 1 8 3 (in part) and 1 1 8 4 (in part)

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    travel expenses due to officials and temporary staff (including their families) entering or leaving the service or being transferred to another place of employment,

    installation/resettlement allowances and removal expenses due to officials and temporary staff obliged to change their place of residence on taking up duty, on transfer to a new place of employment and on finally leaving the institution and resettling elsewhere,

    daily subsistence allowance for officials and temporary staff who furnish evidence that they must change their place of residence on taking up duty or transferring to a new place of employment.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 2 2   Allowances upon early termination of service

    1 2 2 0   Allowances for staff retired in the interests of the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Article 1 2 3 (in part) and former Items 1 2 1 0 and 1 2 9 0 (in part)

    Staff Regulations of officials of the European Communities, and in particular Articles 41 and 50 and Annex IV.

    This appropriation is intended to cover allowances due to officials:

    assigned non-active status in connection with action to reduce the number of posts in the institution,

    holding an AD 16 or AD 15 grade post who are retired in the interests of the service.

    It also covers the employer's contribution to sickness insurance and the impact of weightings applicable to these allowances.

    1 2 2 2   Allowances for staff whose service is terminated and special retirement scheme for officials and temporary staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    500

    p.m.

    0,—

    Remarks

    Former Article 1 2 3 (in part) and former Items 1 2 1 5 and 1 2 9 0 (in part)

    Staff Regulations of officials of the European Communities, and in particular Articles 64 and 72 thereof.

    Council Regulation (ECSC, EEC, Euratom) No 3518/85 of 12 December 1985 introducing special measures to terminate the service of officials of the European Communities as a result of the accession of Spain and Portugal (OJ L 335, 13.12.1985, p. 56), as amended by Council Regulation (EC, ECSC, Euratom) No 2458/98 (OJ L 307, 17.11.1998, p. 1).

    This appropriation is intended to cover:

    the allowances payable under the Staff Regulations or the regulation referred to above,

    the employer's contributions towards sickness insurance for the recipients of the allowances,

    the impact of the salary weightings applicable to the various allowances.

    1 2 9   Provisional appropriation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    357 468

    354 389

    0,—

    Remarks

    Former Items 1 1 9 1 (in part) and 1 2 9 1 (in part)

    Staff Regulations of officials of the European Communities, and in particular Article 65 thereof and Annex XI thereto.

    This appropriation is intended to cover the effects of any salary adjustments decided by the Council during the financial year.

    This appropriation is purely provisional and may only be used after its transfer to other headings in accordance with the Financial Regulation.

    CHAPTER 1 4 —   OTHER STAFF AND OUTSIDE SERVICES

    1 4 0   Other staff and externals

    1 4 0 0   Other staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 789 500

    1 262 500

    1 250 763,70

    Remarks

    Former Articles 1 1 1, 1 1 5 (in part) and former Items 1 8 9 3 and 1 8 9 5

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover the following expenditure:

    the remuneration of other staff including auxiliary, contract and local staff and special advisers (within the meaning of the Conditions of employment of other servants of the European Communities), employer's contributions to the various social security schemes and the impact of salary weightings applicable to the remuneration of these staff or the termination of contract allowance,

    fees of medical and paramedical staff paid under the arrangements for the provision of services and, in special cases, the employment of temporary agency staff,

    the remuneration and fees of conference operators and multimedia editors used during times of excessive workload or in special cases.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 4 0 2   Interpreter services

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 549 697

    3 808 000

    3 125 000,—

    Remarks

    Former Item 1 8 9 1

    This item is intended to cover expenditure on interpreter services.

    This item covers the fees, social security contributions, travel expenses and subsistence allowances of interpreters employed.

    1 4 0 4   Graduate traineeships, grants and exchanges of officials

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    435 712

    327 000

    245 934,89

    Remarks

    Former Articles 1 5 0, 1 5 2, 2 7 3 and former Item 2 9 4 0

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    an allowance, travel and mission expenses for trainees, and accident and sickness insurance during courses,

    expenditure arising from movements between the Committee of the Regions and the public sector in the Member States or other countries specified in the rules,

    the contribution, on a limited scale, to the realisation of research projects in the fields of activity of the Committee of the Regions which are of particular interest for European integration,

    the cost of programmes to inform young people in the European spirit.

    1 4 0 8   Entitlements in connection with entering the service, transfer and leaving the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    86 400

    p.m.

    0,—

    Remarks

    Former Items 1 1 4 9 (in part), 1 1 8 1 (in part), 1 1 8 2 (in part), 1 1 8 3 (in part) and 1 1 8 4 (in part)

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    travel expenses due to staff (including their families) entering or leaving the service or being transferred to another place of employment,

    installation/resettlement allowances and removal expenses due to staff obliged to change their place of residence on taking up duty, on transfer to a new place of employment and on finally leaving the institution and resettling elsewhere,

    daily subsistence allowance for staff who furnish evidence that they must change their place of residence on taking up duty or transferring to a new place of employment,

    the difference between the contributions paid by staff to a Member State pension scheme and those paid to the Community scheme in the event of redefinition of a contract.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 4 2   Outside services

    1 4 2 0   Supplementary services for the translation service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    120 500

    458 000

    174 467,75

    Remarks

    Former Items 1 8 3 0 and 1 8 9 6

    This appropriation is intended to cover expenditure on work carried out by freelance or temporary translators and typing and other work sent out by the translation service. The Committee of the Regions always makes use of freelance translators whose names figure on the lists drawn up as a result of interinstitutional calls for tender.

    Expenditure on any work entrusted to the Translation Centre in Luxembourg and all interinstitutional cooperation activities in the language area are also covered by this item.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 4 2 2   Expert advice connected with consultative work

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    286 000

    429 000

    225 223,05

    Remarks

    Former Article 2 6 0 (in part)

    This appropriation is intended to cover payments to qualified experts in their specific fields who participate in the activities of the Committee of the Regions, in implementation of the rules governing reimbursement of travel expenses and payment of subsistence allowances to experts, speakers and researchers who participate in the activities of the Committee of the Regions.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 4 9   Provisional appropriation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Items 1 1 9 1 (in part) and 1 2 9 1 (in part)

    Staff Regulations of officials of the European Communities, and in particular Article 65 thereof and Annex XI thereto.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover the effects of any salary adjustments decided by the Council during the financial year.

    This appropriation is purely provisional and may only be used after its transfer to other headings in accordance with the Financial Regulation.

    CHAPTER 1 6 —   OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    1 6 1   Expenditure relating to staff management

    1 6 1 0   Miscellaneous expenditure on recruitment

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    75 000

    125 000

    55 028,71

    Remarks

    Former Item 1 8 8 0

    Staff Regulations of officials of the European Communities, and in particular Articles 27 to 31 and 33 and Annex III.

    Decision 2002/620/EC of the European Parliament, the Council, the Commission, the Court of Justice, the Court of Auditors, the Economic and Social Committee, the Committee of the Regions and the European Ombudsman of 25 July 2002 establishing a European Communities Personnel Selection Office (OJ L 197, 26.7.2002, p. 53) and Decision 2002/621/EC of the Secretaries-General of the European Parliament, the Council, the Commission, the Registrar of the Court of Justice, the Secretaries-General of the Court of Auditors, the Economic and Social Committee, the Committee of the Regions and the Representative of the European Ombudsman of 25 July 2002 on the organisation and operation of the European Communities Personnel Selection Office (OJ L 197, 26.7.2002, p. 56).

    This appropriation is intended to cover:

    expenditure on organising the competitions provided for in Article 3 of Decision 2002/621/EC and travel and subsistence expenses for applicants called for interviews and medical examinations,

    the costs of organising procedures for selecting temporary, auxiliary and local staff.

    In cases duly justified by operational needs and after consultation of the European Communities Personnel Selection Office, the institution may use some of these appropriations to organise its own competitions.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 6 1 2   Further training, retraining and information for staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    260 000

    225 000

    180 890,20

    Remarks

    Former Item 1 8 2 0

    Staff Regulations of officials of the European Communities, and in particular Article 24a thereof.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    the organisation of training and retraining courses as well as language courses, on an interinstitutional basis. Some of the appropriations may be used in duly justified cases to cover the organisation of courses within the institution,

    expenditure relating to the purchase or production of teaching materials,

    professional training courses which raise awareness about matters concerning disabled people and training measures in connection with equal opportunities and careers advice, with particular reference to skill profiles.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 6 2   Staff mission costs

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    390 000

    330 000

    390 334,66

    Remarks

    Former Article 1 3 0

    Staff Regulations of officials of the European Communities, and in particular Article 71 and Articles 11 to 13 of Annex VII.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover transport expenses, the payment of daily subsistence allowances and incidental or exceptional expenses incurred in carrying out a mission.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    1 6 3   Activities relating to all persons working with the institution

    1 6 3 0   Social welfare

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    40 000

    20 000

    0,—

    Remarks

    Former Articles 1 6 0 and 1 6 4

    Staff Regulations of officials of the European Communities, and in particular the third paragraph of Article 9(3) and Article 76 thereof.

    This appropriation is intended to cover:

    as part of an interinstitutional policy to assist the disabled, persons with a disability in the following categories:

    officials and temporary staff in active employment,

    spouses of officials and temporary staff in active employment,

    dependent children within the meaning of the Staff Regulations of officials of the European Communities,

    reimbursement, subject to budgetary ceilings and once any national entitlements granted in the country of residence or of origin have been exhausted, of non-medical expenditure that is deemed necessary, results from disablement, is duly substantiated and is not refunded by the Joint Sickness Insurance Scheme,

    action taken in respect of officials and other servants in particularly difficult situations.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 6 3 2   Social contacts between members of staff and other social measures

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    31 000

    29 000

    17 271,20

    Remarks

    Former Item 1 8 6 0 and former Article 1 8 7

    This appropriation is intended to encourage and provide financial backing for schemes to promote social contact between staff of different nationalities, for example subsidies to staff clubs, sports associations, cultural societies, etc., and to make a contribution to the cost of a permanent leisure centre (cultural and sports activities, hobbies, restaurant).

    It also covers the financing of a grant for the Staff Committee and incidental expenditure in the Welfare Service and the Committee of the Regions' contribution towards the social, sporting, educational and cultural activities of the European Interinstitutional Centre at Overijse.

    This appropriation is also intended to cover aid to members of staff other than aid chargeable to other items or articles in this chapter.

    1 6 3 4   Medical service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    26 000

    21 000

    17 992,50

    Remarks

    Former Article 1 4 1

    Staff Regulations of officials of the European Communities, and in particular Article 59 and Article 8 of Annex II.

    This appropriation is intended to cover the operating costs of the medical service at the three places of work, including the purchase of materials and pharmaceutical products, etc., expenditure on preventive medical check-ups, expenditure arising from the operation of the Invalidity Committee and expenditure on services provided by outside medical specialists deemed necessary by the medical officers.

    It also covers expenditure involving the purchase of certain work tools deemed necessary on medical grounds.

    The amount of assigned revenue in accordance with Article 181(1)(e) to (j) of the Financial Regulation is estimated at EUR 500.

    1 6 3 6   Running costs of restaurants and canteens

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Article 1 8 4

    This appropriation is intended to cover restaurant and cafeteria operating expenditure.

    1 6 3 8   Early Childhood Centre and approved day nurseries

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    350 000

    200 000

    139 784,—

    Remarks

    Former Item 1 8 6 3

    This appropriation is intended to cover the contributions of the Committee of the Regions to the costs of the Community nursery centre and other day nurseries and after-school centres.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation from parental contributions is estimated at EUR 10 000.

    TITLE 2

    BUILDINGS, FURNITURE, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 2 0

    2 0 0

    Buildings and associated costs

    2 0 0 0

    Rent

     

     

     

    Non-differentiated appropriations

    1 110 760

    52 000

    43 033,86

    2 0 0 1

    Annual lease payments

     

     

     

    Non-differentiated appropriations

    7 009 750

    6 500 000

    8 073 219,—

    2 0 0 3

    Purchase of premises

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    2 0 0 5

    Construction of buildings

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    2 0 0 7

    Fitting-out of premises

     

     

     

    Non-differentiated appropriations

    100 000

    280 000

    283 790,40

    2 0 0 8

    Other expenditure on buildings

     

     

     

    Non-differentiated appropriations

    22 000

    8 000

    3 850,—

    2 0 0 9

    Provisional appropriation to cover the institution's property investments

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    Article 2 0 0 — Total

    8 242 510

    6 840 000

    8 403 893,26

    2 0 2

    Other expenditure on buildings

    2 0 2 2

    Cleaning and maintenance

     

     

     

    Non-differentiated appropriations

    1 212 000

    1 880 000

    1 019 078,46

    2 0 2 4

    Energy consumption

     

     

     

    Non-differentiated appropriations

    594 000

    510 800

    580 208,—

    2 0 2 6

    Security and surveillance of buildings

     

     

     

    Non-differentiated appropriations

    1 125 728

    1 463 382

    1 466 350,03

    2 0 2 8

    Insurance

     

     

     

    Non-differentiated appropriations

    94 560

    88 800

    81 928,—

     

    Article 2 0 2 — Total

    3 026 288

    3 942 982

    3 147 564,49

     

    CHAPTER 2 0 — TOTAL

    11 268 798

    10 782 982

    11 551 457,75

     

    CHAPTER 2 1

    2 1 0

    Equipment, operating costs and services relating to data processing and telecommunications

    2 1 0 0

    Purchase, servicing and maintenance of equipment and software, and related work

     

     

     

    Non-differentiated appropriations

    858 533

    1 083 222

    1 180 577,98

    2 1 0 2

    Outside assistance in connection with the operation, development and maintenance of software systems

     

     

     

    Non-differentiated appropriations

    1 031 563

    544 167

    353 276,60

    2 1 0 3

    Telecommunications

     

     

     

    Non-differentiated appropriations

    237 600

    222 150

    183 521,—

     

    Article 2 1 0 — Total

    2 127 696

    1 849 539

    1 717 375,58

    2 1 2

    Furniture

     

     

     

    Non-differentiated appropriations

    54 000

    126 400

    82 063,86

    2 1 4

    Technical equipment and installations

     

     

     

    Non-differentiated appropriations

    732 280

    966 010

    612 212,38

    2 1 6

    Vehicles

     

     

     

    Non-differentiated appropriations

    92 025

    81 500

    46 839,18

     

    CHAPTER 2 1 — TOTAL

    3 006 001

    3 023 449

    2 458 491,—

     

    CHAPTER 2 3

    2 3 0

    Stationery, office supplies and miscellaneous consumables

     

     

     

    Non-differentiated appropriations

    193 120

    221 236

    123 862,74

    2 3 1

    Financial charges

     

     

     

    Non-differentiated appropriations

    24 500

    31 000

    5 728,12

    2 3 2

    Legal costs and damages

     

     

     

    Non-differentiated appropriations

    20 000

    20 000

    8 925,—

    2 3 6

    Postage on correspondence and delivery charges

     

     

     

    Non-differentiated appropriations

    280 000

    300 534

    228 368,14

    2 3 8

    Other administrative expenditure

     

     

     

    Non-differentiated appropriations

    59 400

    73 000

    65 449,59

     

    CHAPTER 2 3 — TOTAL

    577 020

    645 770

    432 333,59

     

    CHAPTER 2 5

    2 5 4

    Meetings, conferences, congresses, seminars and other events

    2 5 4 0

    Miscellaneous expenditure on internal meetings

     

     

     

    Non-differentiated appropriations

    123 000

    118 000

    64 845,57

    2 5 4 1

    Observers

     

     

     

    Non-differentiated appropriations

    120 000

    370 000

    100 685,95

    2 5 4 2

    Meetings, congresses and conferences

     

     

     

    Non-differentiated appropriations

    350 000

    300 000

    345 039,72

    2 5 4 6

    Entertainment and representation expenses

     

     

     

    Non-differentiated appropriations

    191 000

    130 000

    138 750,70

     

    Article 2 5 4 — Total

    784 000

    918 000

    649 321,94

     

    CHAPTER 2 5 — TOTAL

    784 000

    918 000

    649 321,94

     

    CHAPTER 2 6

    2 6 0

    Communication and publications

    2 6 0 0

    Expenditure on publishing, dissemination of information and participation in public events

     

     

     

    Non-differentiated appropriations

    450 000

    448 000

    424 910,—

    2 6 0 2

    General publications

     

     

     

    Non-differentiated appropriations

    816 000

    961 000

    561 870,52

    2 6 0 4

    Official Journal

     

     

     

    Non-differentiated appropriations

    210 000

    292 500

    182 500,—

     

    Article 2 6 0 — Total

    1 476 000

    1 701 500

    1 169 280,52

    2 6 2

    Acquisition of documentation and archiving

    2 6 2 0

    External studies

     

     

     

    Non-differentiated appropriations

    320 000

    430 000

    268 280,70

    2 6 2 2

    Documentation and library expenditure

     

     

     

    Non-differentiated appropriations

    151 320

    160 300

    111 621,47

    2 6 2 4

    Expenditure on archive resources

     

     

     

    Non-differentiated appropriations

    104 990

    124 754

    101 395,50

     

    Article 2 6 2 — Total

    576 310

    715 054

    481 297,67

    2 6 4

    Expenditure on publishing, dissemination of information and participation in public events: information and communication activities

     

     

     

    Non-differentiated appropriations

    400 000

    400 000

    0,—

     

    CHAPTER 2 6 — TOTAL

    2 452 310

    2 816 554

    1 650 578,19

     

    Title 2 — Total

    18 088 129

    18 186 755

    16 742 182,47

    CHAPTER 2 0 —

    BUILDINGS AND ASSOCIATED COSTS

    CHAPTER 2 1 —

    DATA PROCESSING, EQUIPMENT AND FURNITURE: PURCHASE, HIRE AND MAINTENANCE

    CHAPTER 2 3 —

    CURRENT ADMINISTRATIVE EXPENDITURE

    CHAPTER 2 5 —

    MEETINGS AND CONFERENCES

    CHAPTER 2 6 —

    EXPERTISE AND INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISSEMINATION

    CHAPTER 2 0 —   BUILDINGS AND ASSOCIATED COSTS

    2 0 0   Buildings and associated costs

    2 0 0 0   Rent

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 110 760

    52 000

    43 033,86

    Remarks

    This appropriation is intended to cover rent on buildings and rental charges for meetings held in buildings that are not occupied permanently.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 4 300 000.

    2 0 0 1   Annual lease payments

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    7 009 750

    6 500 000

    8 073 219,—

    Remarks

    This appropriation is intended to cover annual lease payments and other similar expenditure owed by the institution in respect of its lease/purchase obligations.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 900 000.

    2 0 0 3   Purchase of premises

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Article 2 0 6

    This appropriation is intended to cover the purchase of premises. Subsidies for land and its servicing will be dealt with in accordance with the provisions of the Financial Regulation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 0 0 5   Construction of buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    New heading

    This item is intended to accommodate a possible appropriation for the construction of buildings.

    2 0 0 7   Fitting-out of premises

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    100 000

    280 000

    283 790,40

    Remarks

    Former Article 2 0 4

    This appropriation is intended to cover the performance of fitting-out work, including specific work such as cabling and security and restaurant-related work etc, as well as other expenditure connected with that work, in particular architects' or engineers' fees etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 0 0 8   Other expenditure on buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    22 000

    8 000

    3 850,—

    Remarks

    Former Articles 2 0 8 and 2 0 9

    This appropriation is intended to cover expenditure on buildings not specifically provided for in the other articles in this chapter, in particular:

    expenses for building adaptations required by disabled employees and disabled visitors to the Committee of the Regions,

    public-utility service charges.

    2 0 0 9   Provisional appropriation to cover the institution's property investments

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    New heading

    This appropriation is intended to cover any property investments made by the institution.

    This appropriation is purely provisional and may only be used after its transfer to other headings in accordance with the Financial Regulation.

    2 0 2   Other expenditure on buildings

    2 0 2 2   Cleaning and maintenance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 212 000

    1 880 000

    1 019 078,46

    Remarks

    Former Article 2 0 3

    This appropriation is intended to cover the cost of cleaning and maintaining premises, lifts, heating and air-conditioning systems and fire doors, as well as rat extermination, repainting and repair work, and maintaining the external appearance of buildings and their environment, including the cost of studies, analyses, authorisations, compliance with Eco-Management and Audit Scheme (EMAS) standards etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 5 000.

    2 0 2 4   Energy consumption

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    594 000

    510 800

    580 208,—

    Remarks

    Former Article 2 0 2

    This appropriation is intended to cover, in particular, water, gas, electricity and heating costs.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 0 2 6   Security and surveillance of buildings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 125 728

    1 463 382

    1 466 350,03

    Remarks

    Former Article 2 0 5 (in part)

    This appropriation is intended to cover essentially the costs of caretaking and surveillance in respect of buildings.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 0 2 8   Insurance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    94 560

    88 800

    81 928,—

    Remarks

    Former Article 2 0 1

    This appropriation is intended to cover payments in respect of insurance policy premiums.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    CHAPTER 2 1 —   DATA PROCESSING, EQUIPMENT AND FURNITURE: PURCHASE, HIRE AND MAINTENANCE

    2 1 0   Equipment, operating costs and services relating to data processing and telecommunications

    2 1 0 0   Purchase, servicing and maintenance of equipment and software, and related work

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    858 533

    1 083 222

    1 180 577,98

    Remarks

    Former Article 2 1 1

    This appropriation is intended to cover expenditure on the purchase, hire, servicing and maintenance of equipment and software for the institution, and related work.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 1 0 2   Outside assistance in connection with the operation, development and maintenance of software systems

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 031 563

    544 167

    353 276,60

    Remarks

    Former Article 2 1 4

    This appropriation is intended to cover the cost of outside assistance from service bureaux and data-processing consultants in connection with the operation of the data-processing centre and the network, the production and maintenance of applications, support for users, including Members, the carrying out of studies, and the drawing-up and input of technical documentation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 1 0 3   Telecommunications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    237 600

    222 150

    183 521,—

    Remarks

    Former Article 2 4 1

    This appropriation is intended to cover wired and wireless telecommunication subscriptions and charges (fixed-line and mobile telephony, television), as well as costs incurred in connection with data transmission networks and telematic services. It also covers the co-financing of equipment provided to members enabling them to receive Committee documents electronically.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 1 2   Furniture

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    54 000

    126 400

    82 063,86

    Remarks

    Former Article 2 2 1

    This appropriation is intended to cover the purchase, hire, maintenance and repair of furniture, including the purchase of ergonomic furniture and the replacement of worn-out and broken furniture.

    In connection with works of art, this appropriation is intended to cover both the cost of acquiring and purchasing specific material and the current expenditure relating thereto, including framing, restoration, cleaning, insurance and ad hoc transport costs.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 5 000.

    2 1 4   Technical equipment and installations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    732 280

    966 010

    612 212,38

    Remarks

    Former Articles 2 0 5 (in part) and 2 2 0

    This appropriation is intended to cover the purchase, hire, maintenance and repair of technical equipment and installations, and in particular of:

    miscellaneous fixed and mobile technical installations and equipment in connection with publishing, archiving, security, canteens and buildings etc,

    equipment in particular for the printshop, archives, telephone service, canteens, staff shops, security, conferences, the audiovisual sector etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 5 000.

    2 1 6   Vehicles

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    92 025

    81 500

    46 839,18

    Remarks

    Former Article 2 2 3

    This appropriation is intended to cover the purchase, maintenance, use and repair of vehicles (fleet of cars and bicycles) and the hire of cars, taxis, coaches and lorries, with or without drivers, including the necessary insurance cover.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 4 000.

    CHAPTER 2 3 —   CURRENT ADMINISTRATIVE EXPENDITURE

    2 3 0   Stationery, office supplies and miscellaneous consumables

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    193 120

    221 236

    123 862,74

    Remarks

    This appropriation is intended to cover the costs of purchasing paper, envelopes, office supplies, products required by the printing and duplicating shops and the cost of some outside printing work.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 3 1   Financial charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    24 500

    31 000

    5 728,12

    Remarks

    Former Article 2 3 2

    This appropriation is intended to cover bank charges (commission, agios and miscellaneous charges) and other financial charges, including ancillary costs for the financing of buildings.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 100.

    2 3 2   Legal costs and damages

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    20 000

    20 000

    8 925,—

    Remarks

    Former Articles 2 3 3 and 2 3 4

    This appropriation is intended to cover:

    all costs deriving from the Committee's involvement in cases before the Community and national courts, the cost of legal services, the purchase of legal works and equipment, and any other legal, court or out-of-court expenses to which the Legal Service contributes;

    damages, interest and any debts within the meaning of Article 8(3) of the Financial Regulation.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 3 6   Postage on correspondence and delivery charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    280 000

    300 534

    228 368,14

    Remarks

    Former Article 2 4 0

    This appropriation is intended to cover charges for postage, processing and delivery by the postal services or private delivery firms.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 3 8   Other administrative expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    59 400

    73 000

    65 449,59

    Remarks

    Former Items 2 3 5 0, 2 3 5 1, 2 3 5 3 and 2 3 5 9

    This appropriation is intended to cover:

    insurance not specifically provided for in another item,

    the purchase and maintenance of uniforms for ushers, drivers and removal men, medical services and various technical services,

    all removal and handling expenses and those incurred by using removal firms or by using the services of interim handling agents,

    miscellaneous operating expenses, such as for the purchase of railway and flight timetables, the publication of notices of sales of second-hand equipment in newspapers etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 500.

    CHAPTER 2 5 —   MEETINGS AND CONFERENCES

    2 5 4   Meetings, conferences, congresses, seminars and other events

    2 5 4 0   Miscellaneous expenditure on internal meetings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    123 000

    118 000

    64 845,57

    Remarks

    Former Item 2 3 5 2

    This appropriation is intended to cover the cost of drinks and, occasionally, of snacks and working meals at internal meetings.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 5 4 1   Observers

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    120 000

    370 000

    100 685,95

    Remarks

    Former Article 2 5 1

    This appropriation is intended to cover the payment of travel and subsistence expenses to regional and local representatives of the applicant countries who participate in the work of the Committee of the Regions.

    2 5 4 2   Meetings, congresses and conferences

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    350 000

    300 000

    345 039,72

    Remarks

    Former Article 2 5 5

    This appropriation is intended to cover expenses, including representation and logistical expenses, connected with (a) the attendance by Committee of the Regions delegates at congresses, conferences, seminars, symposia, etc. and (b) the organisation by the Committee of hearings and both general and specific conferences and meetings (including overall contributions in the event that these events are co-organised with third parties and expenses connected with contracting out).

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 5 000.

    2 5 4 6   Entertainment and representation expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    191 000

    130 000

    138 750,70

    Remarks

    Former Article 1 7 0

    This appropriation is intended to cover expenses related to the obligations of the institution regarding entertainment and representation.

    It also covers entertainment and representation expenses of certain officials acting on behalf of the institution.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    CHAPTER 2 6 —   EXPERTISE AND INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISSEMINATION

    2 6 0   Communication and publications

    2 6 0 0   Expenditure on publishing, dissemination of information and participation in public events

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    450 000

    448 000

    424 910,—

    Remarks

    Former Article 2 7 2

    This appropriation is intended to cover the Committee's communication and information expenses, whether relating to the objectives and activities of the Committee, information activities aimed at the general public, cultural initiatives or any other of the various Committee events. It also covers all materials, and audiovisual services connected with these events.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 6 0 2   General publications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    816 000

    961 000

    561 870,52

    Remarks

    Former Items 2 7 1 0 and 2 7 1 9

    This appropriation is intended to cover the Committee of the Regions' publication costs on all media to promote publications and general information; also distribution and publication costs for promotional and publicity purposes.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 5 000.

    2 6 0 4   Official Journal

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    210 000

    292 500

    182 500,—

    Remarks

    Former Article 2 7 0

    This appropriation is intended to cover printing expenses for publications in the Official Journal of the European Union, as well as postage and associated costs.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 15 000.

    2 6 2   Acquisition of documentation and archiving

    2 6 2 0   External studies

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    320 000

    430 000

    268 280,70

    Remarks

    Former Article 2 6 0 (part)

    This appropriation is intended to cover studies contracted out to experts and research institutes.

    2 6 2 2   Documentation and library expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    151 320

    160 300

    111 621,47

    Remarks

    Former Items 2 2 5 0 to 2 2 5 3 and 2 2 5 5

    This appropriation is intended to cover:

    the expansion and renewal of the general reference section and the updating of the library's collection,

    subscriptions to newspapers, periodicals, information agencies, their publications and online services, including copyright fees for the copying and distribution in print or electronic form of these publications, and service contracts for press reviews and cuttings,

    subscriptions or service contracts for the provision of summaries and analyses of the content of periodicals or the storage on optical media of articles extracted from these periodicals,

    the costs of using external documentary and statistical databases, excluding information technology equipment and telecommunication costs,

    costs arising from obligations undertaken by the Committee of the Regions in the framework of international and/or interinstitutional cooperation,

    the purchase or hire of special equipment, including electric, electronic and IT library, documentation and multimedia equipment and systems, as well as external services for the acquisition, development, installation, use and maintenance of this equipment and these systems,

    the cost of services connected with the activities of the library, including those provided for its users (searches, analyses), the quality management system etc,

    binding and conservation materials and work for the library, documentation service and multimedia resource centre,

    the cost, including materials, of internal publications (brochures, studies etc) and communication (newsletters, videos, CD-ROMs etc),

    the purchase of dictionaries, glossaries and other works for the language service.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 500.

    2 6 2 4   Expenditure on archive resources

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    104 990

    124 754

    101 395,50

    Remarks

    Former Item 2 2 5 4 and Article 2 2 7

    This appropriation is intended to cover the cost of external archiving services, including sorting, filing and refiling, the cost of archiving services, the acquisition and use of archive materials on back-up media (microfilm, disk, cassette etc), as well as the purchase, hire and maintenance of special materials (electric, electronic, IT) and the cost of publishing on all media (brochures, CD-ROMs etc).

    2 6 4   Expenditure on publishing, dissemination of information and participation in public events: information and communication activities

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    400 000

    400 000

    0,—

    Remarks

    Former Article 2 7 4

    Regulation (Committee of the Regions) No 020/2005 on the financing of the political and information activities of Members of the Committee of the Regions.

    This appropriation is intended to cover expenditure resulting from the political and information activities of Committee Members in the exercise of their European mandate.

    TITLE 10

    OTHER EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 10 0

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 0 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 1

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 1 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 2

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 2 — TOTAL

    p.m.

    p.m.

    0,—

     

    Title 10 — Total

    p.m.

    p.m.

    0,—

     

    GRAND TOTAL

    67 099 232

    63 362 670

    57 516 605,63

    CHAPTER 10 0 —

    PROVISIONAL APPROPRIATIONS

    CHAPTER 10 1 —

    CONTINGENCY RESERVE

    CHAPTER 10 2 —

    RESERVE TO PROVIDE FOR THE TAKEOVER OF BUILDINGS

    CHAPTER 10 0 —   PROVISIONAL APPROPRIATIONS

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    The appropriations entered under this chapter are purely provisional and may only be used after transfer to other budget chapters in accordance with the Financial Regulation.

    CHAPTER 10 1 —   CONTINGENCY RESERVE

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    CHAPTER 10 2 —   RESERVE TO PROVIDE FOR THE TAKEOVER OF BUILDINGS

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    SECTION VIII

    EUROPEAN OMBUDSMAN

    REVENUE

    Contribution of the European Communities to the financing of the expenditure of the European Ombudsman for the financial year 2007

    Heading

    Amount

    Expenditure

    8 152 800

    Own resources

    – 939 980

    Contribution due

    7 212 820

    OWN RESOURCES

    TITLE 4

    REVENUE ACCRUING FROM PERSONS WORKING WITH THE INSTITUTIONS AND OTHER COMMUNITY BODIES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 4 0

    4 0 0

    Proceeds from taxation on the salaries, wages and allowances of Members of the institution, officials, other servants and recipients of pensions

    520 085

    495 526

    351 653,—

    4 0 1

    Contributions to the pension scheme by officials and other servants

    p.m.

    p.m.

    p.m.

    4 0 4

    Proceeds from the special levy on the salaries of Members of the institutions, officials and other servants in active employment

    30 468

    26 083

    22 117,—

     

    CHAPTER 4 0 — TOTAL

    550 553

    521 609

    373 770,—

     

    CHAPTER 4 1

    4 1 0

    Staff contributions to the pension scheme

    389 427

    301 991

    238 770,—

    4 1 1

    Transfer or purchase of pension rights by staff

    p.m.

    p.m.

    0,—

    4 1 2

    Contributions to the pension scheme by officials and other agents on leave on personal grounds

    p.m.

    p.m.

    0,—

     

    CHAPTER 4 1 — TOTAL

    389 427

    301 991

    238 770,—

     

    Title 4 — Total

    939 980

    823 600

    612 540,—

    CHAPTER 4 0 —

    MISCELLANEOUS TAXES AND DEDUCTIONS

    CHAPTER 4 1 —

    CONTRIBUTIONS TO THE PENSION SCHEME

    CHAPTER 4 0 —   MISCELLANEOUS TAXES AND DEDUCTIONS

    4 0 0   Proceeds from taxation on the salaries, wages and allowances of Members of the institution, officials, other servants and recipients of pensions

    Financial year 2007

    Financial year 2006

    Financial year 2005

    520 085

    495 526

    351 653,—

    Remarks

    Protocol on the privileges and immunities of the European Communities, and in particular Article 13 thereof.

    Regulation No 422/67/EEC, 5/67/Euratom of the Council of 25 July 1967 determining the emoluments of the President and Members of the Commission and of the President, Judges, Advocates General and Registrar of the Court of Justice and of the President, Members and Registrar of the Court of First Instance as well as the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    Regulation (EEC, Euratom, ECSC) No 260/68 of the Council of 29 February 1968 laying down the conditions and procedure for applying the tax for the benefit of the European Communities (OJ L 56, 4.3.1968, p. 8), as last amended by Regulation (EC, Euratom) No 1750/2002 (OJ L 264, 2.10.2002, p. 15).

    Decision 94/262/ECSC, EC, Euratom of the European Parliament of 9 March 1994 on the regulations and general conditions governing the performance of the Ombudsman's duties (OJ L 113, 4.5.1994, p. 15), as last amended by Decision 2002/262/EC, ECSC, Euratom (OJ L 92, 9.4.2002, p. 13), and in particular Article 10(2) and (3) thereof.

    4 0 1   Contributions to the pension scheme by officials and other servants

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    p.m.

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 83(2) thereof.

    4 0 4   Proceeds from the special levy on the salaries of Members of the institutions, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    30 468

    26 083

    22 117,—

    Remarks

    Protocol on the privileges and immunities of the European Communities, and in particular Article 13 thereof.

    Regulation No 422/67/EEC, 5/67/Euratom of the Council of 25 July 1967 determining the emoluments of the President and Members of the Commission and of the President, Judges, Advocates General and Registrar of the Court of Justice and of the President, Members and Registrar of the Court of First Instance as well as the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    Staff Regulations of officials of the European Communities, in particular Article 66a thereof, and Conditions of employment of other servants.

    Decision 94/262/ECSC, EC, Euratom of the European Parliament of 9 March 1994 on the regulations and general conditions governing the performance of the Ombudsman's duties (OJ L 113, 4.5.1994, p. 15), as last amended by Decision 2002/262/EC, ECSC, Euratom (OJ L 92, 9.4.2002, p. 13), and in particular Article 10(2) and (3) thereof.

    CHAPTER 4 1 —   CONTRIBUTIONS TO THE PENSION SCHEME

    4 1 0   Staff contributions to the pension scheme

    Financial year 2007

    Financial year 2006

    Financial year 2005

    389 427

    301 991

    238 770,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 83(2) thereof.

    4 1 1   Transfer or purchase of pension rights by staff

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Articles 4, 11(2) and (3) and 48 of Annex VIII thereto.

    4 1 2   Contributions to the pension scheme by officials and other agents on leave on personal grounds

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    Staff Regulations of officials of the European Communities, in particular Article 40(3) thereof, and Article 17 of the Conditions of employment of other servants of the European Communities.

    TITLE 6

    CONTRIBUTIONS AND REFUNDS IN CONNECTION WITH COMMUNITY AGREEMENTS AND PROGRAMMES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 6 6

    6 6 0

    Other contributions and refunds

    6 6 0 0

    Other assigned contributions and refunds — Assigned revenue

    p.m.

    p.m.

    0,—

     

    Article 6 6 0 — Total

    p.m.

    p.m.

    0,—

     

    CHAPTER 6 6 — TOTAL

    p.m.

    p.m.

    0,—

     

    Title 6 — Total

    p.m.

    p.m.

    0,—

    CHAPTER 6 6 —

    OTHER CONTRIBUTIONS AND REFUNDS

    CHAPTER 6 6 —   OTHER CONTRIBUTIONS AND REFUNDS

    6 6 0   Other contributions and refunds

    6 6 0 0   Other assigned contributions and refunds — Assigned revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    This item is intended to record, pursuant to Article 18 of the Financial Regulation, any revenue not provided for in other parts of Title 6 and which is used to provide additional appropriations to finance expenditure to which this revenue is assigned.

    TITLE 9

    MISCELLANEOUS REVENUE

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 9 0

    9 0 0

    Miscellaneous revenue

    p.m.

    p.m.

    10 568,—

     

    CHAPTER 9 0 — TOTAL

    p.m.

    p.m.

    10 568,—

     

    Title 9 — Total

    p.m.

    p.m.

    10 568,—

     

    GRAND TOTAL

    939 980

    823 600

    623 108,—

    CHAPTER 9 0 —

    MISCELLANEOUS REVENUE

    CHAPTER 9 0 —   MISCELLANEOUS REVENUE

    9 0 0   Miscellaneous revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    10 568,—

    Remarks

    This article is intended to record miscellaneous revenue.

    EXPENDITURE

    General summary of appropriations (2007 and 2006) and outturn (2005)

    Title

    Chapter

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1

    EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    1 0

    MEMBERS OF THE INSTITUTION

    491 300

    501 270

    507 387,—

    1 2

    OFFICIALS AND TEMPORARY STAFF

    5 308 000

    4 834 268

    3 526 913,—

    1 4

    OTHER STAFF AND OUTSIDE SERVICES

    320 000

    417 000

    175 456,—

    1 6

    OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    31 000

    56 000

    23 386,—

     

    Title 1 — Total

    6 150 300

    5 808 538

    4 233 142,—

    2

    BUILDINGS, FURNITURE, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    2 0

    BUILDINGS AND ASSOCIATED COSTS

    420 000

    385 000

    304 457,—

    2 1

    DATA PROCESSING, EQUIPMENT AND FURNITURE: PUCHASE, HIRE AND MAINTENANCE

    81 000

    70 000

    104 906,—

    2 3

    CURRENT ADMINISTRATIVE EXPENDITURE

    750 500

    630 000

    918 903,—

     

    Title 2 — Total

    1 251 500

    1 085 000

    1 328 266,—

    3

    EXPENDITURE RESULTING FROM GENERAL FUNCTIONS CARRIED OUT BY THE INSTITUTION

    3 0

    MEETINGS AND CONFERENCES

    245 000

    235 000

    93 526,—

    3 2

    EXPERTISE AND INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISSEMINATION

    495 000

    510 000

    419 796,—

    3 3

    STUDIES AND OTHER SUBSIDIES

    8 000

    40 000

    10 957,—

    3 4

    EXPENSES RELATING TO THE OMBUDSMAN'S DUTIES

    3 000

    4 000

    2 139,—

     

    Title 3 — Total

    751 000

    789 000

    526 418,—

    10

    OTHER EXPENDITURE

    10 0

    PROVISIONAL APPROPRIATIONS

    p.m.

    p.m.

    0,—

    10 1

    CONTINGENCY RESERVE

    p.m.

    p.m.

    0,—

     

    Title 10 — Total

    p.m.

    p.m.

    0,—

     

    GRAND TOTAL

    8 152 800

    7 682 538

    6 087 826,—

    TITLE 1

    EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 1 0

    1 0 0

    Salaries, allowances and payments related to salaries

     

     

     

    Non-differentiated appropriations

    347 000

    341 148

    329 033,—

    1 0 2

    Temporary allowances

     

     

     

    Non-differentiated appropriations

    p.m.

    38 448

    155 003,—

    1 0 3

    Pensions

     

     

     

    Non-differentiated appropriations

    95 300

    66 674

    0,—

    1 0 4

    Mission expenses

     

     

     

    Non-differentiated appropriations

    45 000

    50 000

    22 877,—

    1 0 5

    Language and data-processing courses

     

     

     

    Non-differentiated appropriations

    4 000

    5 000

    474,—

    1 0 8

    Allowances and expenses on entering and leaving the service

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    CHAPTER 1 0 — TOTAL

    491 300

    501 270

    507 387,—

     

    CHAPTER 1 2

    1 2 0

    Remuneration and other entitlements

    1 2 0 0

    Remuneration and allowances

     

     

     

    Non-differentiated appropriations

    5 236 000

    4 627 947

    3 418 652,—

    1 2 0 2

    Paid overtime

     

     

     

    Non-differentiated appropriations

    4 000

    5 000

    0,—

    1 2 0 4

    Entitlements in connection with entering the service, transfer and leaving the service

     

     

     

    Non-differentiated appropriations

    68 000

    201 321

    108 261,—

     

    Article 1 2 0 — Total

    5 308 000

    4 834 268

    3 526 913,—

    1 2 2

    Allowances upon early termination of service

    1 2 2 0

    Allowances for staff retired in the interests of the service

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 2 2 2

    Allowances for staff whose service is terminated and special retirement scheme for officials and temporary staff

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    Article 1 2 2 — Total

    p.m.

    p.m.

    0,—

     

    CHAPTER 1 2 — TOTAL

    5 308 000

    4 834 268

    3 526 913,—

     

    CHAPTER 1 4

    1 4 0

    Other staff and externals

    1 4 0 0

    Other staff

     

     

     

    Non-differentiated appropriations

    155 000

    250 000

    52 351,—

    1 4 0 4

    Graduate traineeships, grants and exchanges of officials

     

     

     

    Non-differentiated appropriations

    165 000

    167 000

    123 105,—

     

    Article 1 4 0 — Total

    320 000

    417 000

    175 456,—

     

    CHAPTER 1 4 — TOTAL

    320 000

    417 000

    175 456,—

     

    CHAPTER 1 6

    1 6 1

    Expenditure relating to staff management

    1 6 1 0

    Expenditure on recruitment

     

     

     

    Non-differentiated appropriations

    10 000

    20 000

    17 038,—

    1 6 1 2

    Further training

     

     

     

    Non-differentiated appropriations

    15 000

    30 000

    5 103,—

     

    Article 1 6 1 — Total

    25 000

    50 000

    22 141,—

    1 6 3

    Measures to assist the institution's staff

    1 6 3 0

    Social welfare

     

     

     

    Non-differentiated appropriations

    1 000

    1 000

    0,—

    1 6 3 2

    Social contacts between members of staff and other social measures

     

     

     

    Non-differentiated appropriations

    5 000

    5 000

    1 245,—

     

    Article 1 6 3 — Total

    6 000

    6 000

    1 245,—

     

    CHAPTER 1 6 — TOTAL

    31 000

    56 000

    23 386,—

     

    Title 1 — Total

    6 150 300

    5 808 538

    4 233 142,—

    CHAPTER 1 0 —

    MEMBERS OF THE INSTITUTION

    CHAPTER 1 2 —

    OFFICIALS AND TEMPORARY STAFF

    CHAPTER 1 4 —

    OTHER STAFF AND OUTSIDE SERVICES

    CHAPTER 1 6 —

    OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    CHAPTER 1 0 —   MEMBERS OF THE INSTITUTION

    1 0 0   Salaries, allowances and payments related to salaries

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    347 000

    341 148

    329 033,—

    Remarks

    Former Articles A-1 0 0, A-1 0 1 and A-1 0 9

    Regulation No 422/67/EEC, 5/67/Euratom of the Council of 25 July 1967 determining the emoluments of the President and Members of the Commission, of the President, Judges, Advocates General and Registrar of the Court of Justice and of the President, Members and Registrar of the Court of First Instance as well as the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    Decision 94/262/ECSC, EC, Euratom of the European Parliament of 9 March 1994 on the regulations and general conditions governing the performance of the Ombudsman's duties (OJ L 113, 4.5.1994, p. 15), as last amended by Decision 2002/262/EC, ECSC, Euratom (OJ L 92, 9.4.2002, p. 13).

    Regulation determining the emoluments of the Members of the institutions, and in particular Articles 4a, 11 and 14 thereof.

    This appropriation is intended to cover salaries, allowances and other payments related to the salary of the Ombudsman, namely the institutions’ contributions towards insurance against accident and occupational disease, the institutions’ contributions towards sickness insurance, birth grants, allowances payable in the event of death, annual medical visits, etc.

    It is also intended to cover the payment of weighting and any adjustments to salaries and pensions made by the Council during the financial year.

    1 0 2   Temporary allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    38 448

    155 003,—

    Remarks

    Regulation determining the emoluments of the Members of the institutions, and in particular Article 7 thereof.

    This appropriation is intended to cover transitional allowances, family allowances and weighting in respect of countries of residence.

    1 0 3   Pensions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    95 300

    66 674

    0,—

    Remarks

    Regulation determining the emoluments of the Members of the institutions, and in particular Articles 8, 9, 15 and 18 thereof.

    This appropriation is intended to cover the retirement pensions and the weighting in respect of the countries of residence of the Members of the institutions as well as the survivors’ pensions of widows and orphans and the weightings applied in respect of their countries of residence.

    1 0 4   Mission expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    45 000

    50 000

    22 877,—

    Remarks

    Regulation determining the emoluments of Members of the institutions, and in particular Article 6 thereof.

    This appropriation is intended to cover travel expenses, daily subsistence allowances while on missions and additional or exceptional expenditure incurred on mission.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    1 0 5   Language and data-processing courses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    4 000

    5 000

    474,—

    Remarks

    Former Article 1 0 6

    This appropriation is intended to cover expenses incurred in attending language courses or other professional training seminars.

    1 0 8   Allowances and expenses on entering and leaving the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Regulation determining the emoluments of Members of the institutions, and in particular Article 5 thereof.

    This appropriation is intended to cover travel expenses due to Members (including their families) on taking up duty or leaving the institution, installation and resettlement allowances due to Members on taking up duty or leaving the institution and removal expenses due to Members on taking up duty or leaving the institution.

    CHAPTER 1 2 —   OFFICIALS AND TEMPORARY STAFF

    Remarks

    Former Chapters 1 1 (part) and 1 2

    1 2 0   Remuneration and other entitlements

    1 2 0 0   Remuneration and allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    5 236 000

    4 627 947

    3 418 652,—

    Remarks

    Former Items A-1 1 0 0, A-1 1 0 1, A-1 1 0 2 and A-1 1 0 3 and former Articles A-1 1 3, A-1 1 4 and A-1 1 9

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is mainly intended to cover, for officials and temporary staff holding a post provided for in the establishment plan:

    salaries, allowances and payments related to salaries,

    insurance against sickness, accidents and occupational disease and other social security charges,

    flat-rate overtime allowances,

    miscellaneous allowances and grants,

    payment of travel expenses for officials or temporary staff, their spouses and dependants from their place of employment to their place of origin,

    the impact of salary weightings applicable to remuneration and to the part of emoluments transferred to a country other than the country of employment,

    unemployment insurance for temporary staff and payments by the institution to temporary staff in order to constitute or maintain their pension rights in their countries of origin.

    1 2 0 2   Paid overtime

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    4 000

    5 000

    0,—

    Remarks

    Former Article A-1 1 5

    Staff Regulations of officials of the European Communities, and in particular Article 56 thereof and Annex VI thereto.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended for the payment of overtime pursuant to the abovementioned provisions.

    1 2 0 4   Entitlements in connection with entering the service, transfer and leaving the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    68 000

    201 321

    108 261,—

    Remarks

    Former Article A-1 1 8

    Staff Regulations of officials of the European Communities.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    travel expenses due to officials and temporary staff (including their families) entering or leaving the service or being transferred to another place of employment,

    installation/resettlement allowances and removal expenses due to officials and temporary staff obliged to change their place of residence on taking up duty, on transfer to a new place of employment and on finally leaving the institution and resettling elsewhere,

    daily subsistence allowance for officials and temporary staff who furnish evidence that they must change their place of residence on taking up duty or transferring to a new place of employment,

    the compensation for a probationary official who is dismissed because his work is obviously inadequate,

    compensation for a member of the temporary staff whose contract is terminated by the institution.

    1 2 2   Allowances upon early termination of service

    1 2 2 0   Allowances for staff retired in the interests of the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Article A-1 2 1

    Staff Regulations of officials of the European Communities, and in particular Articles 41 and 50 thereof and Annex IV thereto.

    This appropriation is intended to cover the allowances payable to officials:

    assigned non-active status in connection with action to reduce the number of posts in the institution,

    holding an AD 16 or AD 15 grade post who are retired in the interests of the service.

    It also covers the employer's contribution to sickness insurance and the impact of weightings applicable to these allowances.

    1 2 2 2   Allowances for staff whose service is terminated and special retirement scheme for officials and temporary staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Former Article A-1 2 3

    Council Regulations introducing special measures to terminate the service of officials of the European Communities as a result of the accession of new Member states.

    Staff Regulations of officials of the European Communities, and in particular Articles 64 and 72 thereof.

    This appropriation is intended to cover:

    the allowances payable under the Staff Regulations or the other regulations referred to above,

    the employer's contributions towards sickness insurance for the recipients of the allowances,

    the impact of the salary weightings applicable to the various allowances.

    CHAPTER 1 4 —   OTHER STAFF AND OUTSIDE SERVICES

    1 4 0   Other staff and externals

    1 4 0 0   Other staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    155 000

    250 000

    52 351,—

    Remarks

    Former Item A-1 1 1 5

    Conditions of employment of other servants of the European Communities.

    This appropriation is mainly intended to cover the following:

    the remuneration of other staff including auxiliary, contract and local staff and special advisers (within the meaning of the Conditions of employment of other servants of the European Communities), employer's contributions to the various social security schemes and the impact of salary weightings applicable to the remuneration of these staff,

    fees of staff paid under the arrangements for the provision of services and, in special cases, the employment of temporary agency staff.

    1 4 0 4   Graduate traineeships, grants and exchanges of officials

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    165 000

    167 000

    123 105,—

    Remarks

    Former Article A-1 5 0

    Ombudsman's decision of 21 July 2004 concerning traineeships and Ombudsman's decision of 15 January 2004 concerning seconded international, national and regional or local officials to the European Ombudsman's Office.

    This appropriation is intended to cover:

    an allowance, travel and mission expenses for trainees, and accident and sickness insurance during courses,

    expenditure arising from movements of staff between the European Ombudsman and the public sector in the Member States or other countries specified in the rules.

    CHAPTER 1 6 —   OTHER EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    1 6 1   Expenditure relating to staff management

    1 6 1 0   Expenditure on recruitment

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    10 000

    20 000

    17 038,—

    Remarks

    Former Article A-1 8 8

    Staff Regulations of officials of the European Communities, and in particular Articles 27 to 31 and 33 thereof and Annex VII thereto.

    Decision 2002/620/EC of the European Parliament, the Council, the Commission, the Court of Justice, the Court of Auditors, the Economic and Social Committee, the Committee of the Regions and the European Ombudsman of 25 July 2002 establishing a European Communities Personnel Selection Office (OJ L 197, 26.7.2002, p. 53) and Decision 2002/621/EC of the Secretaries-General of the European Parliament, the Council and the Commission, the Registrar of the Court of Justice, the Secretaries-General of the Court of Auditors, the Economic and Social Committee, the Committee of the Regions, and the representative of the European Ombudsman of 25 July 2002 on the organisation and operation of the European Communities Personnel Selection Office (OJ L 197, 26.7.2002, p. 56).

    This appropriation is intended to cover:

    expenditure on organising the competitions provided for in Article 3 of the Decision of the Secretaries-General and travel and subsistence expenses for applicants called for interviews and medical examinations,

    the costs of organising procedures for selecting officials and other staff.

    In cases duly justified by operating requirements and after consulting the Office, this appropriation may be used for competitions organised by the institution on its own.

    1 6 1 2   Further training

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    15 000

    30 000

    5 103,—

    Remarks

    Former Article A-1 8 2

    Staff Regulations of officials of the European Communities, and in particular Article 24a thereof.

    Conditions of employment of other servants of the European Communities.

    This appropriation is intended to cover:

    further professional training and retraining courses, including language courses run on an interinstitutional basis. In duly justified cases, some of the appropriations may be used to cover the organisation of courses within the institution,

    expenditure relating to the purchase or production of teaching materials and to the performance of specific studies by specialists for devising and implementing training programmes,

    professional training courses which raise awareness about matters concerning disabled people and training measures in connection with equal opportunities and careers advice, with particular reference to skill profiles.

    1 6 3   Measures to assist the institution's staff

    1 6 3 0   Social welfare

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 000

    1 000

    0,—

    Remarks

    Former Article A-1 6 0

    Staff Regulations of officials of the European Communities, and in particular Articles 9(3), third subparagraph, and 76 thereof. European Ombudsman's decision of 15 January 2004 adopting the rules on social assistance to officials and other staff of the European Ombudsman's office.

    This appropriation is intended to cover:

    as part of an interinstitutional policy to assist the disabled, persons with a disability in the following categories:

    officials and temporary staff in active employment,

    spouses of officials and temporary staff in active employment,

    dependent children within the meaning of the Staff Regulations of officials of the European Communities,

    reimbursement, subject to budgetary ceilings and once any national entitlements granted in the country of residence or of origin have been exhausted, of non-medical expenditure that is deemed necessary, results from disablement, is duly substantiated and is not refunded by the Joint Sickness Insurance Scheme,

    action taken in respect of officials and other servants in particularly difficult situations.

    1 6 3 2   Social contacts between members of staff and other social measures

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    5 000

    5 000

    1 245,—

    Remarks

    Former Article A-1 8 6

    This appropriation is intended to encourage and provide financial backing for schemes to promote social contacts between staff of different nationalities, for example subsidies to staff clubs, associations, cultural activities, etc. and to make a contribution to the cost of activities organised by the staff committee (cultural, leisure activities, meals etc.).

    It also covers financial participation in interinstitutional social activities.

    TITLE 2

    BUILDINGS, FURNITURE, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 2 0

    2 0 0

    Buildings

    2 0 0 0

    Rent

     

     

     

    Non-differentiated appropriations

    420 000

    385 000

    304 457,—

     

    Article 2 0 0 — Total

    420 000

    385 000

    304 457,—

     

    CHAPTER 2 0 — TOTAL

    420 000

    385 000

    304 457,—

     

    CHAPTER 2 1

    2 1 0

    Equipment, operating costs and services relating to data processing and telecommunications

    2 1 0 0

    Purchase, servicing and maintenance of equipment and software, and related work

     

     

     

    Non-differentiated appropriations

    35 000

    25 000

    54 340,—

    2 1 0 1

    Purchase, servicing and maintenance of equipment relating to telecommunications

     

     

     

    Non-differentiated appropriations

    1 000

    5 000

    0,—

     

    Article 2 1 0 — Total

    36 000

    30 000

    54 340,—

    2 1 2

    Furniture

     

     

     

    Non-differentiated appropriations

    20 000

    10 000

    42 372,—

    2 1 6

    Vehicles

     

     

     

    Non-differentiated appropriations

    25 000

    30 000

    8 194,—

     

    CHAPTER 2 1 — TOTAL

    81 000

    70 000

    104 906,—

     

    CHAPTER 2 3

    2 3 0

    Administrative expenditure

    2 3 0 0

    Stationery, office supplies and miscellaneous consumables

     

     

     

    Non-differentiated appropriations

    28 000

    30 000

    21 137,—

    2 3 0 1

    Postage on correspondence and delivery charges

     

     

     

    Non-differentiated appropriations

    23 000

    25 000

    21 519,—

    2 3 0 2

    Telecommunications

     

     

     

    Non-differentiated appropriations

    18 000

    20 000

    11 916,—

    2 3 0 3

    Financial charges

     

     

     

    Non-differentiated appropriations

    1 500

    2 500

    1 000,—

    2 3 0 4

    Other expenditures

     

     

     

    Non-differentiated appropriations

    5 000

    7 500

    2 363,—

     

    Article 2 3 0 — Total

    75 500

    85 000

    57 935,—

    2 3 1

    Translation and interpretation

     

     

     

    Non-differentiated appropriations

    600 000

    450 000

    736 968,—

    2 3 2

    Support for activities

     

     

     

    Non-differentiated appropriations

    75 000

    95 000

    124 000,—

     

    CHAPTER 2 3 — TOTAL

    750 500

    630 000

    918 903,—

     

    Title 2 — Total

    1 251 500

    1 085 000

    1 328 266,—

    CHAPTER 2 0 —

    BUILDINGS AND ASSOCIATED COSTS

    CHAPTER 2 1 —

    DATA PROCESSING, EQUIPMENT AND FURNITURE: PUCHASE, HIRE AND MAINTENANCE

    CHAPTER 2 3 —

    CURRENT ADMINISTRATIVE EXPENDITURE

    CHAPTER 2 0 —   BUILDINGS AND ASSOCIATED COSTS

    2 0 0   Buildings

    2 0 0 0   Rent

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    420 000

    385 000

    304 457,—

    Remarks

    Administrative arrangement between the European Ombudsman and the European Parliament.

    This appropriation is intended as a lump-sum payment to the European Parliament in respect of the offices which the European Parliament provides to the Ombudsman within its premises in Strasbourg and Brussels. It covers rent and charges in respect of insurance, water, electricity, heating, cleaning and maintenance, security and surveillance as well as other miscellaneous buildings expenditure, including alteration, repair or refurbishment of the offices concerned.

    CHAPTER 2 1 —   DATA PROCESSING, EQUIPMENT AND FURNITURE: PUCHASE, HIRE AND MAINTENANCE

    Remarks

    In connection with public procurement, the institution will consult the other institutions on the contractual terms each of them has obtained.

    2 1 0   Equipment, operating costs and services relating to data processing and telecommunications

    2 1 0 0   Purchase, servicing and maintenance of equipment and software, and related work

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    35 000

    25 000

    54 340,—

    Remarks

    This appropriation is intended to cover expenditure on:

    the purchase, hire, servicing and maintenance of equipment and development of software,

    assistance in connection with the operation and maintenance of data-processing systems,

    data-processing operations entrusted to third parties and other data-processing service expenditure.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 1 0 1   Purchase, servicing and maintenance of equipment relating to telecommunications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 000

    5 000

    0,—

    Remarks

    This appropriation is intended to cover expenditure on the hiring, servicing and maintenance of telecommunications equipment and other telecommunications-related expenses (transmission networks, telephone switchboards, telephones and similar equipment, fax machines, telex systems, installation costs, etc.).

    2 1 2   Furniture

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    20 000

    10 000

    42 372,—

    Remarks

    Former Article A-2 2 0

    This appropriation is intended to cover the purchase, hire, maintenance and repair of furniture, including the purchase of ergonomic furniture, the replacement of worn-out and broken furniture and office machines.

    In connection with works of art, this appropriation is intended to cover both the cost of acquiring and purchasing specific material and the current expenditure relating thereto, including framing, restoration, cleaning, insurance and ad hoc transport costs.

    2 1 6   Vehicles

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    25 000

    30 000

    8 194,—

    Remarks

    Former Article A-2 2 2

    This appropriation is intended to cover the acquisition, maintenance, use and repair of vehicles (service cars) and the hire of cars, taxis, coaches and lorries, with or without drivers, including the necessary insurance cover and the payment of eventual fines.

    CHAPTER 2 3 —   CURRENT ADMINISTRATIVE EXPENDITURE

    2 3 0   Administrative expenditure

    Remarks

    Former Chapters 1 8 (part) and 2 3

    In connection with public procurement, the institution will consult the other institutions on the contractual terms each of them has obtained.

    2 3 0 0   Stationery, office supplies and miscellaneous consumables

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    28 000

    30 000

    21 137,—

    Remarks

    Former Article A-2 3 0 (part)

    This appropriation is intended to cover the purchase of paper, envelopes, office supplies, supplies for the print shop and reproduction workshops, etc.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    2 3 0 1   Postage on correspondence and delivery charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    23 000

    25 000

    21 519,—

    Remarks

    Former Article A-2 3 0 (part)

    This appropriation is intended to cover charges for postage, processing and delivery by the postal services or private delivery firms.

    2 3 0 2   Telecommunications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    18 000

    20 000

    11 916,—

    Remarks

    Former Article A-2 3 0 (part)

    This appropriation is intended to cover subscriptions and charges for cable and radio communications (fixed and mobile telephony, and television) plus expenditure on data transmission networks and telematic services.

    2 3 0 3   Financial charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 500

    2 500

    1 000,—

    Remarks

    Former Article A-2 3 0 (part)

    This appropriation is intended to cover bank charges (commission, agios and miscellaneous charges) and other financial charges, including ancillary costs for the financing of buildings.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 10 000.

    2 3 0 4   Other expenditures

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    5 000

    7 500

    2 363,—

    Remarks

    Former Article A-2 3 0 (part)

    This appropriation is intended to cover:

    insurance not specifically provided for in another item,

    the purchase of uniforms for ushers, drivers and removal men, etc.,

    miscellaneous operating expenses, such as for the purchase of railway and flight timetables, the publication of notices of sales of second-hand equipment in newspapers, etc.,

    imprest accounts in Brussels and Strasbourg.

    2 3 1   Translation and interpretation

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    600 000

    450 000

    736 968,—

    Remarks

    Former Item A-1 8 7 5

    This appropriation is intended to cover the cost of all supplementary services, in particular the translation and typing of the annual report and other documents, contracted and occasional interpreters and other associated costs.

    2 3 2   Support for activities

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    75 000

    95 000

    124 000,—

    Remarks

    Former Item A-1 8 7 8

    This appropriation is intended to cover the global management costs payable to Parliament to cover the costs in staff time to Parliament of providing general services such as accounting, internal audit and a medical service, etc.

    TITLE 3

    EXPENDITURE RESULTING FROM GENERAL FUNCTIONS CARRIED OUT BY THE INSTITUTION

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 3 0

    3 0 0

    Staff mission expenses

     

     

     

    Non-differentiated appropriations

    120 000

    150 000

    79 011,—

    3 0 2

    Entertainment and representation expenses

     

     

     

    Non-differentiated appropriations

    20 000

    20 000

    12 090,—

    3 0 3

    Meetings in general

     

     

     

    Non-differentiated appropriations

    100 000

    55 000

    2 425,—

    3 0 4

    Miscellaneous expenditure on meetings

     

     

     

    Non-differentiated appropriations

    5 000

    10 000

    0,—

     

    CHAPTER 3 0 — TOTAL

    245 000

    235 000

    93 526,—

     

    CHAPTER 3 2

    3 2 0

    Acquisition of information and expertise

    3 2 0 0

    Documentation and library expenditure

     

     

     

    Non-differentiated appropriations

    5 000

    10 000

    8 815,—

    3 2 0 1

    Expenditure on archive resources

     

     

     

    Non-differentiated appropriations

    5 000

    15 000

    0,—

     

    Article 3 2 0 — Total

    10 000

    25 000

    8 815,—

    3 2 1

    Production and dissemination

    3 2 1 0

    General publications

     

     

     

    Non-differentiated appropriations

    485 000

    485 000

    410 981,—

     

    Article 3 2 1 — Total

    485 000

    485 000

    410 981,—

     

    CHAPTER 3 2 — TOTAL

    495 000

    510 000

    419 796,—

     

    CHAPTER 3 3

    3 3 0

    Studies and subsidies

    3 3 0 0

    Studies

     

     

     

    Non-differentiated appropriations

    7 000

    20 000

    0,—

    3 3 0 1

    Other subsidies

     

     

     

    Non-differentiated appropriations

    1 000

    20 000

    10 957,—

     

    Article 3 3 0 — Total

    8 000

    40 000

    10 957,—

     

    CHAPTER 3 3 — TOTAL

    8 000

    40 000

    10 957,—

     

    CHAPTER 3 4

    3 4 0

    Expenses relating to the Ombudsman's duties

    3 4 0 0

    Miscellaneous expenses

     

     

     

    Non-differentiated appropriations

    3 000

    4 000

    2 139,—

     

    Article 3 4 0 — Total

    3 000

    4 000

    2 139,—

     

    CHAPTER 3 4 — TOTAL

    3 000

    4 000

    2 139,—

     

    Title 3 — Total

    751 000

    789 000

    526 418,—

    CHAPTER 3 0 —

    MEETINGS AND CONFERENCES

    CHAPTER 3 2 —

    EXPERTISE AND INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISSEMINATION

    CHAPTER 3 3 —

    STUDIES AND OTHER SUBSIDIES

    CHAPTER 3 4 —

    EXPENSES RELATING TO THE OMBUDSMAN'S DUTIES

    CHAPTER 3 0 —   MEETINGS AND CONFERENCES

    3 0 0   Staff mission expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    120 000

    150 000

    79 011,—

    Remarks

    Former Article A-1 3 0

    Staff Regulations of officials of the European Communities, and in particular Article 71 thereof and Articles 11 to 13 of Annex VII thereto.

    This appropriation is intended to cover expenditure on transport costs, the payment of daily mission allowances and the ancillary or exceptional expenses incurred in the performance of a mission, including ancillary costs relating to tickets and reservations.

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 5 000.

    3 0 2   Entertainment and representation expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    20 000

    20 000

    12 090,—

    Remarks

    Former Article A-1 7 0

    This appropriation is intended to cover the costs related to the Institution's obligations concerning receptions, representation costs and the purchase of representational items offered by the Ombudsman.

    3 0 3   Meetings in general

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    100 000

    55 000

    2 425,—

    Remarks

    Former Article A-2 5 0

    This appropriation is intended to cover the travel, subsistence and incidental expenses of experts and other persons invited to take part in committees, study groups or working meetings, as well as other connected expenditure (rental of rooms, interpretation needs, etc).

    3 0 4   Miscellaneous expenditure on meetings

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    5 000

    10 000

    0,—

    Remarks

    Former Article A-2 3 0 (part)

    This appropriation is intended to cover expenditure related to occasional beverages or snacks served during meetings.

    CHAPTER 3 2 —   EXPERTISE AND INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISSEMINATION

    3 2 0   Acquisition of information and expertise

    3 2 0 0   Documentation and library expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    5 000

    10 000

    8 815,—

    Remarks

    Former Article A-2 2 3

    This appropriation is intended to cover:

    the extension and renewal of the general reference works section and keeping the library stock up to date,

    subscriptions to newspapers and periodicals and news agencies and to the publications thereof and online services, including copyright fees for the reproduction and dissemination of the above in written and/or electronic form and service contracts for press reviews and cuttings,

    subscriptions or service contracts for the supply of summaries and analyses of the content of periodicals or the storage on optical media of articles taken from such periodicals,

    utilising external documentary and statistical databases (computer hardware and telecommunications charges excepted),

    the purchase or rental of special library, documentation and media library materials, including electric, electronic and computer facilities and/or systems, as well as outside services for the acquisition, development, installation, use and maintenance of these facilities and systems,

    the cost of services relating to library activities, in particular in dealings with library customers (enquiries, analyses), and quality management systems, etc.,

    binding and preservation equipment and work for the library, documentation and media library,

    the purchase of dictionaries, glossaries and other works for the Ombudsman's services.

    3 2 0 1   Expenditure on archive resources

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    5 000

    15 000

    0,—

    Remarks

    New item

    Regulation (EC) No 1049/2001 of the European Parliament and of the Council of 30 May 2001 regarding public access to European Parliament, Council and Commission documents (OJ L 145, 31.5.2001, p. 43), and the implementing measures adopted within the European Ombudsman's office.

    European Ombudsman's decision of … on enhancing information and transparency and on the archives of the European Ombudsman.

    This appropriation is intended to cover:

    the cost of outside services for archiving operations, including sorting, filing and refiling in the depositories, the cost of archive services, the acquisition and use of archive resources on substitute media (microfilms, discs, cassettes, etc.), the purchase, hire and maintenance of special facilities (electronic, computerised and electrical) and expenditure on publications on all media (brochures, CD-ROM, etc.),

    the cost of processing papers of the European Ombudsman accumulated in the exercise of his office and handed over, in the form of legal donations or legacies, to the European Parliament, to the Historical Archives of the European Communities (HAEC) or to an association or foundation according to established rules.

    3 2 1   Production and dissemination

    3 2 1 0   General publications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    485 000

    485 000

    410 981,—

    Remarks

    Former Article A-2 7 0

    This appropriation is intended to cover expenditure on publishing and information, and in particular:

    printing expenses for publications in the Official Journal of the European Union,

    the cost of printing and reproducing, in the official languages, various publications (annual report etc.),

    printed material (by traditional or electronic means) promoting information with regard to the European Ombudsman (publicity and measures to promote the principle of the European Ombudsman to the public at large),

    any other expenses in connection with the institution's information policy (symposia, seminars, participation in public events, etc.).

    The amount of assigned revenue in accordance with Article 18(1)(e) to (j) of the Financial Regulation is estimated at EUR 1 000.

    CHAPTER 3 3 —   STUDIES AND OTHER SUBSIDIES

    3 3 0   Studies and subsidies

    3 3 0 0   Studies

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    7 000

    20 000

    0,—

    Remarks

    Former Article A-2 6 0

    This appropriation is intended to cover the financing of studies and/or surveys contracted out to qualified experts and research institutes, as well as the publication costs of such studies and associated costs.

    3 3 0 1   Other subsidies

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 000

    20 000

    10 957,—

    Remarks

    Former Article A-2 9 9

    This appropriation is intended to cover expenditure committed to promoting relations and strengthening cooperation between the European Ombudsman and the national/regional ombudsmen and other similar bodies.

    It can cover, in particular, financial contributions to projects in the fields of activity of the European ombudsmen's network (other than that in Item A-3 2 1 0).

    It is also intended to cover any contribution in relation to the European Ombudsman's visitors groups.

    CHAPTER 3 4 —   EXPENSES RELATING TO THE OMBUDSMAN'S DUTIES

    3 4 0   Expenses relating to the Ombudsman's duties

    3 4 0 0   Miscellaneous expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 000

    4 000

    2 139,—

    Remarks

    Former Article A-3 7 0

    This appropriation is intended to cover expenditure incurred owing to the special nature of the Ombudsman's duties such as relations with the national ombudsmen and international organisations of ombudsmen and subscriptions to international organisations.

    TITLE 10

    OTHER EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 10 0

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 0 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 1

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 1 — TOTAL

    p.m.

    p.m.

    0,—

     

    Title 10 — Total

    p.m.

    p.m.

    0,—

     

    GRAND TOTAL

    8 152 800

    7 682 538

    6 087 826,—

    CHAPTER 10 0 —

    PROVISIONAL APPROPRIATIONS

    CHAPTER 10 1 —

    CONTINGENCY RESERVE

    CHAPTER 10 0 —   PROVISIONAL APPROPRIATIONS

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12, 2006, p. 1).

    CHAPTER 10 1 —   CONTINGENCY RESERVE

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    This appropriation is intended to cover expenditure resulting from budgetary decisions taken in the course of the financial year (expenditure that cannot be estimated).

    SECTION IX

    EUROPEAN DATA-PROTECTION SUPERVISOR

    REVENUE

    Contribution of the European Communities to the financing of the expenditure of the European Data-protection Supervisor for the financial year 2007

    Heading

    Amount

    Expenditure

    4 955 726

    Own resources

    – 582 000

    Contribution due

    4 373 726

    OWN RESOURCES

    TITLE 4

    MISCELLANEOUS COMMUNITY TAXES, LEVIES AND CHARGES

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 4 0

    4 0 0

    Proceeds of the tax on the salaries, wages and allowances of Members of the institution, officials and other servants

    316 000

    311 000

    196 086,86

    4 0 3

    Proceeds of the temporary contribution from the salaries of Members of the institutions, officials and other servants in active employment

    p.m.

    p.m.

    p.m.

    4 0 4

    Proceeds from the special levy on the salaries of members of the institutions, officials and other servants in active employment

    33 000

    10 000

    13 314,76

     

    CHAPTER 4 0 — TOTAL

    349 000

    321 000

    209 401,62

     

    CHAPTER 4 1

    4 1 0

    Staff contributions to the financing of the pension fund

    233 000

    199 000

    88 513,11

    4 1 1

    Transfer or purchase of pension rights by staff

    p.m.

    p.m.

    0,—

     

    CHAPTER 4 1 — TOTAL

    233 000

    199 000

    88 513,11

     

    Title 4 — Total

    582 000

    520 000

    297 914,73

    CHAPTER 4 0 —

    DEDUCTIONS FROM REMUNERATION

    CHAPTER 4 1 —

    CONTRIBUTION TO THE PENSION SCHEME

    CHAPTER 4 0 —   DEDUCTIONS FROM REMUNERATION

    4 0 0   Proceeds of the tax on the salaries, wages and allowances of Members of the institution, officials and other servants

    Financial year 2007

    Financial year 2006

    Financial year 2005

    316 000

    311 000

    196 086,86

    Remarks

    Protocol on the privileges and immunities of the European Communities, and in particular Article 13 thereof.

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and Members of the Commission and of the President, Judges, Advocates General and Registrar of the Court of Justice and of the President, Members and Registrar of the Court of First Instance as well as the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    Council Regulation (EEC, Euratom, ECSC) No 260/68 of 29 February 1968 laying down the conditions and procedure for applying the tax for the benefit of the European Communities (OJ L 56, 4.3.1968, p. 8), as last amended by Regulation (EC, Euratom) No 1750/2002 (OJ L 264, 2.10.2002, p. 15).

    Decision No 1247/2002/EC of the European Parliament, of the Council and of the Commission of 1 July 2002 on the regulations and general conditions governing the performance of the European Data-protection Supervisor's duties (OJ L 183, 12.7.2002, p. 1).

    4 0 3   Proceeds of the temporary contribution from the salaries of Members of the institutions, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    p.m.

    Remarks

    Protocol on the privileges and immunities of the European Communities, and in particular Article 13 thereof.

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and Members of the Commission and of the President, Judges, Advocates General and Registrar of the Court of Justice and of the President, Members and Registrar of the Court of First Instance as well as the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    Council Regulation (ECSC, EEC, Euratom) No 3831/91 of 19 December 1991 amending the Staff Regulations of officials and the Conditions of employment of other servants of the European Communities with a view to introducing a temporary contribution (OJ L 361, 31.12.1991, p. 7).

    Decision No 1247/2002/EC of the European Parliament, of the Council and of the Commission of 1 July 2002 on the regulations and general conditions governing the performance of the European Data-protection Supervisor's duties (OJ L 183, 12.7.2002, p. 1).

    4 0 4   Proceeds from the special levy on the salaries of members of the institutions, officials and other servants in active employment

    Financial year 2007

    Financial year 2006

    Financial year 2005

    33 000

    10 000

    13 314,76

    Remarks

    Staff Regulations of Officials of the European Communities, and in particular Article 66a thereof.

    CHAPTER 4 1 —   CONTRIBUTION TO THE PENSION SCHEME

    4 1 0   Staff contributions to the financing of the pension fund

    Financial year 2007

    Financial year 2006

    Financial year 2005

    233 000

    199 000

    88 513,11

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 83(2) thereof.

    4 1 1   Transfer or purchase of pension rights by staff

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    0,—

    Remarks

    New article

    Legal basis

    Staff Regulations of officials of the European Communities, and in particular Article 4, Article 11(2) and (3) and Article 48 of Annex VIII thereto.

    TITLE 9

    MISCELLANEOUS REVENUE

    Article

    Item

    Heading

    Financial year 2007

    Financial year 2006

    Financial year 2005

     

    CHAPTER 9 0

    9 0 0

    Miscellaneous revenue

    p.m.

    p.m.

    p.m.

     

    CHAPTER 9 0 — TOTAL

    p.m.

    p.m.

    p.m.

     

    Title 9 — Total

    p.m.

    p.m.

    p.m.

     

    GRAND TOTAL

    582 000

    520 000

    297 914,73

    CHAPTER 9 0 —

    MISCELLANEOUS REVENUE

    CHAPTER 9 0 —   MISCELLANEOUS REVENUE

    9 0 0   Miscellaneous revenue

    Financial year 2007

    Financial year 2006

    Financial year 2005

    p.m.

    p.m.

    p.m.

    Remarks

    This article is intended to receive miscellaneous revenue.

    EXPENDITURE

    General summary of appropriations (2007 and 2006) and outturn (2005)

    Title

    Chapter

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1

    EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    1 0

    MEMBERS OF THE INSTITUTION

    708 803

    700 787

    608 316,20

    1 1

    STAFF IN ACTIVE EMPLOYMENT

    3 308 469

    2 033 701

    1 284 799,93

    1 2

    ALLOWANCES AND VARIOUS CONTRIBUTIONS IN CONNECTION WITH THE TERMINATION OF SERVICE

    p.m.

    p.m.

    0,—

    1 3

    MISSIONS AND DUTY TRAVEL

    90 397

    87 340

    30 000,—

    1 5

    GRADUATE TRAINEESHIPS AND EXCHANGES OF OFFICIALS

    113 850

    110 000

    20 156,—

    1 6

    SOCIAL WELFARE

    p.m.

    p.m.

    0,—

    1 7

    ENTERTAINMENT AND REPRESENTATION EXPENSES

    3 480

    3 362

    1 970,20

    1 8

    INTERINSTITUTIONAL COOPERATION

    9 315

    9 000

    0,—

     

    Title 1 — Total

    4 234 314

    2 944 190

    1 945 242,33

    2

    BUILDINGS, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    2 0

    INVESTMENTS IN IMMOVABLE PROPERTY, RENTAL OF BUILDINGS AND ASSOCIATED COSTS

    408 115

    332 489

    229 226,—

    2 1

    DATA PROCESSING AND TELECOMMUNICATIONS

    51 980

    50 960

    37 507,—

    2 2

    MOVABLE PROPERTY AND ASSOCIATED COSTS

    38 783

    38 023

    15 423,87

    2 3

    CURRENT ADMINISTRATIVE EXPENDITURE

    18 126

    17 771

    13 080,—

    2 5

    EXPENDITURE ON FORMAL AND OTHER MEETINGS

    49 980

    49 000

    6 800,—

    2 6

    EXPENDITURE ON STUDIES, SURVEYS AND CONSULTATIONS

    51 000

    50 000

    500,—

    2 7

    EXPENDITURE ON PUBLISHING AND INFORMATION

    103 428

    101 400

    36 925,—

    2 9

    SUBSIDIES AND FINANCIAL CONTRIBUTIONS

    p.m.

    p.m.

    0,—

     

    Title 2 — Total

    721 412

    639 643

    339 461,87

    10

    OTHER EXPENDITURE

    10 0

    PROVISIONAL APPROPRIATIONS

    p.m.

    p.m.

    0,—

    10 1

    CONTINGENCY RESERVE

    p.m.

    p.m.

    0,—

     

    Title 10 — Total

    p.m.

    p.m.

    0,—

     

    GRAND TOTAL

    4 955 726

    3 583 833

    2 284 704,20

    TITLE 1

    EXPENDITURE RELATING TO PERSONS WORKING WITH THE INSTITUTION

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 1 0

    1 0 0

    Salaries, allowances and payments related to salaries

     

     

     

    Non-differentiated appropriations

    580 636

    569 251

    513 140,72

    1 0 1

    Accident and sickness insurance and other social security charges

     

     

     

    Non-differentiated appropriations

    24 793

    24 307

    17 925,48

    1 0 2

    Temporary allowances

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 0 3

    Pensions

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 0 4

    Mission expenses, travel expenses and other ancillary expenditure

     

     

     

    Non-differentiated appropriations

    78 070

    76 539

    41 000,—

    1 0 5

    Allowances and expenses on entering and leaving the service

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    35 000,—

    1 0 6

    Courses

     

     

     

    Non-differentiated appropriations

    4 394

    10 190

    1 250,—

    1 0 9

    Adjustments of emoluments

     

     

     

    Non-differentiated appropriations

    20 910

    20 500

    0,—

     

    CHAPTER 1 0 — TOTAL

    708 803

    700 787

    608 316,20

     

    CHAPTER 1 1

    1 1 0

    Officials and temporary staff holding a post provided for in the establishment plan

    1 1 0 0

    Basic salaries

     

     

     

    Non-differentiated appropriations

    1 619 977

    1 230 576

    880 000,—

    1 1 0 1

    Family allowances

     

     

     

    Non-differentiated appropriations

    136 443

    87 898

    77 203,66

    1 1 0 2

    Expatriation and foreign residence allowances (including Article 97 of the ECSC Staff Regulations)

     

     

     

    Non-differentiated appropriations

    212 046

    153 822

    78 431,48

    1 1 0 3

    Secretarial allowance

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    Article 1 1 0 — Total

    1 968 466

    1 472 296

    1 035 635,14

    1 1 1

    Other staff

    1 1 1 0

    Auxiliary staff, local staff and special advisers

     

     

     

    Non-differentiated appropriations

    33 930

    61 768

    3 204,58

    1 1 1 5

    Contract staff

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    Article 1 1 1 — Total

    33 930

    61 768

    3 204,58

    1 1 2

    Further training

     

     

     

    Non-differentiated appropriations

    34 052

    32 900

    10 000,—

    1 1 3

    Sickness, accident, occupational disease and unemployment insurance and maintenance of pension rights

     

     

     

    Non-differentiated appropriations

    100 537

    64 767

    43 151,89

    1 1 4

    Miscellaneous allowances and grants

     

     

     

    Non-differentiated appropriations

    38 514

    24 129

    12 745,82

    1 1 5

    Overtime

     

     

     

    Non-differentiated appropriations

    1 803

    3 054

    0,—

    1 1 7

    Supplementary services

    1 1 7 5

    Translation and interpretation costs

     

     

     

    Non-differentiated appropriations

    775 350

    112 491

    90 562,50

    1 1 7 6

    Other services and work to be contracted out

     

     

     

    Non-differentiated appropriations

    9 665

    9 338

    0,—

    1 1 7 8

    Support for activities

     

     

     

    Non-differentiated appropriations

    33 044

    51 250

    9 500,—

     

    Article 1 1 7 — Total

    818 059

    173 079

    100 062,50

    1 1 8

    Allowances and expenses in connection with officials entering and leaving the service and transfers

     

     

     

    Non-differentiated appropriations

    208 290

    134 183

    80 000,—

    1 1 9

    Adjustments to salaries of officials and other servants

     

     

     

    Non-differentiated appropriations

    104 818

    67 525

    0,—

     

    CHAPTER 1 1 — TOTAL

    3 308 469

    2 033 701

    1 284 799,93

     

    CHAPTER 1 2

    1 2 1

    Allowances for staff assigned non-active status, retired in the interests of the service or dismissed

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 2 3

    Insurance against sickness

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 2 9

    Adjustments to the various allowances

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    CHAPTER 1 2 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 1 3

    1 3 0

    Mission expenses, travel expenses and incidental expenditure

     

     

     

    Non-differentiated appropriations

    90 397

    87 340

    30 000,—

     

    CHAPTER 1 3 — TOTAL

    90 397

    87 340

    30 000,—

     

    CHAPTER 1 5

    1 5 0

    Cost of organising graduate traineeships within the institution and staff exchanges between the institution and the public sector in the Member States

     

     

     

    Non-differentiated appropriations

    113 850

    110 000

    20 156,—

     

    CHAPTER 1 5 — TOTAL

    113 850

    110 000

    20 156,—

     

    CHAPTER 1 6

    1 6 0

    Special assistance grants

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 6 4

    Supplementary aid for the disabled

    1 6 4 0

    Costs not reimbursed by the Joint Sickness Insurance Scheme and other specific interventions

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    Article 1 6 4 — Total

    p.m.

    p.m.

    0,—

     

    CHAPTER 1 6 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 1 7

    1 7 0

    Entertainment and representation expenses

     

     

     

    Non-differentiated appropriations

    3 480

    3 362

    1 970,20

     

    CHAPTER 1 7 — TOTAL

    3 480

    3 362

    1 970,20

     

    CHAPTER 1 8

    1 8 6

    Social contacts between members of staff

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    1 8 8

    Recruitment costs

     

     

     

    Non-differentiated appropriations

    9 315

    9 000

    0,—

     

    CHAPTER 1 8 — TOTAL

    9 315

    9 000

    0,—

     

    Title 1 — Total

    4 234 314

    2 944 190

    1 945 242,33

    CHAPTER 1 0 —

    MEMBERS OF THE INSTITUTION

    CHAPTER 1 1 —

    STAFF IN ACTIVE EMPLOYMENT

    CHAPTER 1 2 —

    ALLOWANCES AND VARIOUS CONTRIBUTIONS IN CONNECTION WITH THE TERMINATION OF SERVICE

    CHAPTER 1 3 —

    MISSIONS AND DUTY TRAVEL

    CHAPTER 1 5 —

    GRADUATE TRAINEESHIPS AND EXCHANGES OF OFFICIALS

    CHAPTER 1 6 —

    SOCIAL WELFARE

    CHAPTER 1 7 —

    ENTERTAINMENT AND REPRESENTATION EXPENSES

    CHAPTER 1 8 —

    INTERINSTITUTIONAL COOPERATION

    CHAPTER 1 0 —   MEMBERS OF THE INSTITUTION

    1 0 0   Salaries, allowances and payments related to salaries

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    580 636

    569 251

    513 140,72

    Remarks

    Council Regulation No 422/67/EEC, 5/67/Euratom of 25 July 1967 determining the emoluments of the President and Members of the Commission, of the President, Judges, Advocates-General and Registrar of the Court of Justice and of the President, Members and Registrar of the Court of First Instance as well as the President, Members and Registrar of the European Union Civil Service Tribunal (OJ 187, 8.8.1967, p. 1), as last amended by Regulation (EC, Euratom) No 202/2005 (OJ L 33, 5.2.2005, p. 1).

    Decision No 1247/2002/EC of the European Parliament, of the Council and of the Commission of 1 July 2002 on the regulations and general conditions governing the performance of the European Data-protection Supervisor's duties (OJ L 183, 12.7.2002, p. 1).

    1 0 1   Accident and sickness insurance and other social security charges

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    24 793

    24 307

    17 925,48

    Remarks

    Regulation determining the emoluments of the Members of the institutions, and in particular Articles 11 and 14 thereof.

    This appropriation is intended to cover:

    the institutions’ contributions (0,87 %) towards insurance against accident and occupational disease,

    the institutions’ contributions (3,4 %) towards sickness insurance,

    birth grants,

    allowances payable in the event of death.

    1 0 2   Temporary allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Regulation determining the emoluments of the Members of the institutions, and in particular Article 7 thereof.

    This appropriation is intended to cover transitional allowances, family allowances and weighting in respect of countries of residence.

    1 0 3   Pensions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Regulation determining the emoluments of the Members of the institutions, and in particular Articles 8, 9, 15 and 18 thereof.

    This appropriation is intended to cover the retirement pensions and the weighting in respect of the countries of residence of the Members of the institutions as well as the survivors’ pensions of widows and orphans and the weightings applied in respect of their countries of residence.

    1 0 4   Mission expenses, travel expenses and other ancillary expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    78 070

    76 539

    41 000,—

    Remarks

    Regulation determining the emoluments of Members of the institutions, and in particular Article 6 thereof.

    This appropriation is intended to cover travel expenses, daily subsistence allowances while on missions and additional or exceptional expenditure incurred on mission.

    1 0 5   Allowances and expenses on entering and leaving the service

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    35 000,—

    Remarks

    Regulation determining the emoluments of Members of the institutions, and in particular Article 5 thereof.

    This appropriation is intended to cover travel expenses due to members (including their families) on taking up duty or leaving the institution, installation and resettlement allowances due to Members on taking up duty or leaving the institution and removal expenses due to Members on taking up duty or leaving the institution.

    1 0 6   Courses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    4 394

    10 190

    1 250,—

    Remarks

    This appropriation is intended to cover expenses incurred in attending language courses or other professional training seminars.

    1 0 9   Adjustments of emoluments

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    20 910

    20 500

    0,—

    Remarks

    Regulation determining the emoluments of Members of the institutions, and in particular Article 4a thereof, and the Financial Regulation.

    This appropriation is intended to cover the payment of weighting and any adjustments to salaries and pensions made by the Council during the financial year.

    CHAPTER 1 1 —   STAFF IN ACTIVE EMPLOYMENT

    1 1 0   Officials and temporary staff holding a post provided for in the establishment plan

    1 1 0 0   Basic salaries

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 619 977

    1 230 576

    880 000,—

    Remarks

    A standard abatement of 1,8 % has been applied to this appropriation.

    Staff Regulations of officials of the European Communities, and in particular Articles 62 and 66 thereof.

    This appropriation is intended to cover basic salaries of officials and temporary staff.

    1 1 0 1   Family allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    136 443

    87 898

    77 203,66

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Articles 62, 67 and 68a thereof, and Section I of Annex VII thereto.

    This appropriation is intended to cover family allowances, which include:

    head of household allowance,

    dependent child allowance,

    education allowance,

    for officials and temporary staff.

    1 1 0 2   Expatriation and foreign residence allowances (including Article 97 of the ECSC Staff Regulations)

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    212 046

    153 822

    78 431,48

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Articles 62 and 69 thereof, and Article 4 of Annex VII thereto.

    This appropriation is intended to cover the expatriation and foreign-residence allowances of officials and temporary staff.

    1 1 0 3   Secretarial allowance

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 17 of Annex XIII thereto.

    This appropriation is intended to cover the fixed-rate secretarial allowance as referred to in the aforementioned provisions.

    1 1 1   Other staff

    1 1 1 0   Auxiliary staff, local staff and special advisers

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    33 930

    61 768

    3 204,58

    Remarks

    Former Article 1 1 1

    This appropriation is intended to cover the remuneration of and the employer's social security contributions for auxiliary staff, local staff and special advisers as provided for in the Conditions of employment of other servants of the European Communities.

    Legal basis

    Conditions of employment of other servants of the European Communities.

    1 1 1 5   Contract staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    New item

    This appropriation is intended to cover expenditure relating to the use of contract staff.

    Legal basis

    Conditions of employment of other servants of the European Communities.

    1 1 2   Further training

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    34 052

    32 900

    10 000,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 24(8) thereof.

    1 1 3   Sickness, accident, occupational disease and unemployment insurance and maintenance of pension rights

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    100 537

    64 767

    43 151,89

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 24(8) thereof.

    This appropriation is intended to cover the institution's contribution towards sickness insurance (Article 72) and towards insurance against accident and occupational disease (Article 73), the institution's contribution to the setting up of a special unemployment fund (Article 28a(7) of the Conditions of employment of other servants of the European Communities), payments to be made by the institution for temporary staff in order to constitute or maintain pension rights in their countries of origin (Article 42 of the Conditions of employment of other servants of the European Communities).

    It also covers expenses relating to the annual medical check-up for officials and other servants entitled to it, including the analyses and medical examinations requested in connection with that check-up.

    1 1 4   Miscellaneous allowances and grants

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    38 514

    24 129

    12 745,82

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Articles 70, 74 and 75 thereof.

    This appropriation is intended to cover the birth grant (Articles 70, 74 and 75) and the flat-rate travel expenses from the place of employment to the place of origin (Article 8 of Annex VII), rent and transport allowances (Articles 14a and 14b of Annex VII), fixed rate entertainment allowances (Article 14 of Annex VII), fixed travel allowances (Article 15 of Annex VII) and the special allowances granted to accounting officers and administrators of imprest accounts (Article 75).

    1 1 5   Overtime

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    1 803

    3 054

    0,—

    Remarks

    This appropriation is intended to pay for overtime under the conditions laid down in the provisions referred to below.

    Legal basis

    Staff Regulations of officials of the European Communities, and in particular Article 56 thereof and Annex VI thereto.

    1 1 7   Supplementary services

    1 1 7 5   Translation and interpretation costs

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    775 350

    112 491

    90 562,50

    Remarks

    Agreement on administrative cooperation between the European Data-protection Supervisor and the other institution providing the service.

    This appropriation is intended to cover all translation and interpretation costs and other associated costs.

    1 1 7 6   Other services and work to be contracted out

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    9 665

    9 338

    0,—

    Remarks

    This appropriation is intended to cover all services performed by persons not linked to the institution and in particular:

    temporary staff for miscellaneous services,

    supplementary staff.

    Amount of assigned revenue in accordance with Article 18(1) of the Financial Regulation: p.m.

    1 1 7 8   Support for activities

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    33 044

    51 250

    9 500,—

    Remarks

    This appropriation is intended to cover the global management costs payable to the institution providing general services such as administration of contracts, salaries and allowances, data-processing services, etc., on behalf of the European Data-protection Supervisor.

    1 1 8   Allowances and expenses in connection with officials entering and leaving the service and transfers

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    208 290

    134 183

    80 000,—

    Remarks

    Staff Regulations of officials of the European Communities.

    This appropriation is intended to cover expenditure relating to recruitment procedures (Articles 27 to 31 and 33 and Annex III), travel expenses of officials (including members of their families) entering or leaving the service or on geographical redeployment (Articles 20 and 71 and Article 7 of Annex VII), allowances for staff obliged to change their place of residence on taking up their duties, terminating their service or being transferred to a new place of work (Articles 5 and 6 of Annex VII), removal expenses (Articles 20 and 71 and Article 9 of Annex VII) and daily allowances for staff who can prove that they have been obliged to change their place of residence after taking up their duties (Articles 20 and 71 and Article 10 of Annex VII).

    1 1 9   Adjustments to salaries of officials and other servants

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    104 818

    67 525

    0,—

    Remarks

    Staff Regulations of officials of the European Communities.

    This appropriation is intended to cover the impact of salary weighting (Articles 64 and 65 and Annex XI) and any salary adjustments agreed by the Council during the financial year (Article 65 and Annex XI).

    CHAPTER 1 2 —   ALLOWANCES AND VARIOUS CONTRIBUTIONS IN CONNECTION WITH THE TERMINATION OF SERVICE

    1 2 1   Allowances for staff assigned non-active status, retired in the interests of the service or dismissed

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Articles 41 and 50 thereof and Annex IV thereto.

    This appropriation is intended to cover the allowances payable to staff assigned non-active status or retired in the interests of the service.

    1 2 3   Insurance against sickness

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 72 thereof.

    This appropriation is intended to cover the employer's contribution to the sickness insurance of the recipients of the allowances referred to in Article 1 2 1.

    1 2 9   Adjustments to the various allowances

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Staff Regulations of officials of the European Communities.

    This appropriation is intended to cover the impact of the salary weighting applicable to the allowances referred to in Article 1 2 1 (Articles 64 and 65) and the impact of any salary adjustments agreed on by the Council during the financial year (Article 65).

    CHAPTER 1 3 —   MISSIONS AND DUTY TRAVEL

    1 3 0   Mission expenses, travel expenses and incidental expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    90 397

    87 340

    30 000,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 71 thereof and Articles 11 to 13 of Annex VII thereto.

    This appropriation is intended to cover expenditure on transport costs, the payment of daily mission allowances and the ancillary or exceptional expenses incurred in the performance of a mission.

    CHAPTER 1 5 —   GRADUATE TRAINEESHIPS AND EXCHANGES OF OFFICIALS

    1 5 0   Cost of organising graduate traineeships within the institution and staff exchanges between the institution and the public sector in the Member States

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    113 850

    110 000

    20 156,—

    Remarks

    This appropriation is intended to cover an allowance, travel and mission expenses for trainees, and accident and sickness insurance during courses as well as expenditure arising from staff exchanges between the European Data-protection Supervisor, the public sector in the Member States as well as international organisations.

    CHAPTER 1 6 —   SOCIAL WELFARE

    1 6 0   Special assistance grants

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Staff Regulations of officials of the European Communities, and in particular Article 76 thereof.

    This appropriation is intended to cover action taken in respect of officials and other servants in particularly difficult situations.

    1 6 4   Supplementary aid for the disabled

    1 6 4 0   Costs not reimbursed by the Joint Sickness Insurance Scheme and other specific interventions

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    New item

    This appropriation is intended to cover, as part of an interinstitutional policy to assist the disabled, the following categories of disabled persons:

    officials and temporary staff in active employment,

    spouses of officials and temporary staff in active employment,

    all dependent children within the meaning of the Staff Regulations of officials of the European Communities.

    It serves to reimburse, within the limits of the resources available under the budget and after any national entitlements in the country of residence or origin have been exhausted, duly substantiated non-medical expenditure acknowledged to be necessary as a result of the disability.

    CHAPTER 1 7 —   ENTERTAINMENT AND REPRESENTATION EXPENSES

    1 7 0   Entertainment and representation expenses

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    3 480

    3 362

    1 970,20

    Remarks

    This appropriation is intended to cover the cost of receptions, representation costs and the purchase of representational items.

    CHAPTER 1 8 —   INTERINSTITUTIONAL COOPERATION

    Remarks

    The activities covered by this chapter are the subject of interinstitutional cooperation, which requires consultation between institutions and the strengthening of joint management mechanisms with a view to rationalisation of expenditure.

    1 8 6   Social contacts between members of staff

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    This appropriation is intended to encourage and provide financial backing for schemes to promote social contacts between staff of different nationalities, for example subsidies to staff clubs, associations, cultural activities, etc., and to make a contribution to the cost of a permanent leisure centre (cultural and sports activities, etc.).

    1 8 8   Recruitment costs

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    9 315

    9 000

    0,—

    Remarks

    New article

    This appropriation is intended to cover expenditure arising from the organisation of the competitions referred to in Article 3 of Decision 2002/621/EC and the travel and subsistence expenses of candidates attending recruitment interviews and medical examinations.

    This appropriation also covers the costs of organising procedures for the selection of temporary staff, auxiliary staff and local staff.

    In cases duly motivated by functional requirements and after consultation with the European Communities Personnel Selection Office, it may be used for competitions organised by the institution itself.

    Legal basis

    Staff Regulations of officials of the European Communities, and in particular Articles 27 to 31 and 33 thereof and Annex III thereto.

    Decision 2002/620/EC of the European Parliament, the Council, the Commission, the Court of Justice, the Court of Auditors, the Economic and Social Committee, the Committee of the Regions and the European Ombudsman of 25 July 2002 establishing a European Communities Personnel Selection Office (OJ L 197, 26.7.2002, p. 53).

    Decision 2002/621/EC of the Secretaries-General of the European Parliament, the Council and the Commission, the Registrar of the Court of Justice, the Secretaries-General of the Court of Auditors, the Economic and Social Committee and the Committee of the Regions, and the Representative of the European Ombudsman of 25 July 2002 on the organisation and operation of the European Communities Personnel Selection Office (OJ L 197, 26.7.2002, p. 56).

    TITLE 2

    BUILDINGS, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 2 0

    2 0 0

    Rents, charges and buildings expenditure

     

     

     

    Non-differentiated appropriations

    408 115

    332 489

    229 226,—

     

    CHAPTER 2 0 — TOTAL

    408 115

    332 489

    229 226,—

     

    CHAPTER 2 1

    2 1 0

    Equipment, operating costs and services relating to data processing

     

     

     

    Non-differentiated appropriations

    31 400

    30 784

    22 657,—

    2 1 1

    Equipment, installation costs and services relating to telecommunications

     

     

     

    Non-differentiated appropriations

    20 580

    20 176

    14 850,—

     

    CHAPTER 2 1 — TOTAL

    51 980

    50 960

    37 507,—

     

    CHAPTER 2 2

    2 2 0

    Technical equipment and installations

     

     

     

    Non-differentiated appropriations

    32 547

    31 909

    12 500,—

    2 2 2

    Vehicles

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

    2 2 3

    Documentation and library expenditure

     

     

     

    Non-differentiated appropriations

    6 236

    6 114

    2 923,87

     

    CHAPTER 2 2 — TOTAL

    38 783

    38 023

    15 423,87

     

    CHAPTER 2 3

    2 3 0

    Current administrative expenditure

     

     

     

    Non-differentiated appropriations

    18 126

    17 771

    13 080,—

     

    CHAPTER 2 3 — TOTAL

    18 126

    17 771

    13 080,—

     

    CHAPTER 2 5

    2 5 0

    Formal and other meetings in general

     

     

     

    Non-differentiated appropriations

    49 980

    49 000

    6 800,—

     

    CHAPTER 2 5 — TOTAL

    49 980

    49 000

    6 800,—

     

    CHAPTER 2 6

    2 6 0

    Limited consultations, studies and surveys

     

     

     

    Non-differentiated appropriations

    51 000

    50 000

    500,—

     

    CHAPTER 2 6 — TOTAL

    51 000

    50 000

    500,—

     

    CHAPTER 2 7

    2 7 0

    Expenditure on publishing and information

     

     

     

    Non-differentiated appropriations

    103 428

    101 400

    36 925,—

     

    CHAPTER 2 7 — TOTAL

    103 428

    101 400

    36 925,—

     

    CHAPTER 2 9

    2 9 9

    Other subsidies

     

     

     

    Non-differentiated appropriations

    p.m.

    p.m.

    0,—

     

    CHAPTER 2 9 — TOTAL

    p.m.

    p.m.

    0,—

     

    Title 2 — Total

    721 412

    639 643

    339 461,87

    CHAPTER 2 0 —

    INVESTMENTS IN IMMOVABLE PROPERTY, RENTAL OF BUILDINGS AND ASSOCIATED COSTS

    CHAPTER 2 1 —

    DATA PROCESSING AND TELECOMMUNICATIONS

    CHAPTER 2 2 —

    MOVABLE PROPERTY AND ASSOCIATED COSTS

    CHAPTER 2 3 —

    CURRENT ADMINISTRATIVE EXPENDITURE

    CHAPTER 2 5 —

    EXPENDITURE ON FORMAL AND OTHER MEETINGS

    CHAPTER 2 6 —

    EXPENDITURE ON STUDIES, SURVEYS AND CONSULTATIONS

    CHAPTER 2 7 —

    EXPENDITURE ON PUBLISHING AND INFORMATION

    CHAPTER 2 9 —

    SUBSIDIES AND FINANCIAL CONTRIBUTIONS

    CHAPTER 2 0 —   INVESTMENTS IN IMMOVABLE PROPERTY, RENTAL OF BUILDINGS AND ASSOCIATED COSTS

    2 0 0   Rents, charges and buildings expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    408 115

    332 489

    229 226,—

    Remarks

    Agreement on administrative cooperation between the European Data-protection Supervisor and the other institution providing the offices.

    This appropriation is intended to cover, on a flat-rate or pro rata basis, the rents and charges relating to insurance, water, electricity, heating, cleaning and maintenance, security and surveillance and other miscellaneous buildings expenditure, including expenditure associated with the conversion, repair and renovation of the offices in question.

    CHAPTER 2 1 —   DATA PROCESSING AND TELECOMMUNICATIONS

    2 1 0   Equipment, operating costs and services relating to data processing

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    31 400

    30 784

    22 657,—

    Remarks

    Agreement on administrative cooperation between the European Data-protection Supervisor and the other institution providing the equipment.

    This appropriation is intended to cover expenditure on:

    the purchase, rental and maintenance of equipment and the development of software,

    assistance in connection with the operation and maintenance of data-processing systems,

    data-processing operations entrusted to third parties and other data-processing service expenditure.

    2 1 1   Equipment, installation costs and services relating to telecommunications

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    20 580

    20 176

    14 850,—

    Remarks

    Agreement on administrative cooperation between the European Data-protection Supervisor and the other institution providing the equipment.

    This appropriation is intended to cover expenditure relating to the rental, upkeep and maintenance of telecommunications equipment and other telecommunications-related expenditure (transmission networks, telephone exchanges, telephones, mobile telephones and similar equipment, fax machines, telex machines, installation costs, etc.).

    CHAPTER 2 2 —   MOVABLE PROPERTY AND ASSOCIATED COSTS

    2 2 0   Technical equipment and installations

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    32 547

    31 909

    12 500,—

    Remarks

    Agreement on administrative cooperation between the European Data-protection Supervisor and the other institution providing the technical equipment and installations.

    This appropriation is intended to cover expenditure, in particular on:

    equipment such as telephones, calculators, security, archives, etc.,

    office machines (typewriters, photocopiers, reader-printers, etc.),

    replacement and maintenance of technical installations,

    technical equipment,

    purchase and replacement of furniture,

    any other relevant items and associated costs.

    2 2 2   Vehicles

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Agreement on administrative cooperation between the European Data-protection Supervisor and the other institution providing the service.

    2 2 3   Documentation and library expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    6 236

    6 114

    2 923,87

    Remarks

    This appropriation is intended to cover expenditure related to the library of the European Data-protection Supervisor and in particular:

    the costs of keeping the library stock up to date, subscriptions and translation as well as the purchase of library materials and their installation,

    subscriptions and renewals of subscriptions to newspapers, periodicals and news agencies and other associated costs,

    the cost, including equipment, of internal publications (brochures, studies, etc.) and communications (newsletters, videos, CD-ROMs, etc.).

    CHAPTER 2 3 —   CURRENT ADMINISTRATIVE EXPENDITURE

    2 3 0   Current administrative expenditure

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    18 126

    17 771

    13 080,—

    Remarks

    Agreement on administrative cooperation between the European Data-protection Supervisor and the other institution providing the service.

    This appropriation is intended to cover:

    the purchase of paper, envelopes, office supplies and reproduction of workshops (photocopying paper, paper for publishing and distribution by conventional or electronic means, office supplies, etc.),

    mail, postal charges, charges for delivery by a courier service, packages and distribution to the public at large,

    the telephone rental and the charges for communications by telephone, telegraph and telex, costs of electronic data transmission and other related installation costs,

    other current administrative expenditure (financial charges, legal costs, etc.).

    CHAPTER 2 5 —   EXPENDITURE ON FORMAL AND OTHER MEETINGS

    2 5 0   Formal and other meetings in general

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    49 980

    49 000

    6 800,—

    Remarks

    Agreement on administrative cooperation between the European Data-protection Supervisor and the other institution providing the service.

    This appropriation is intended to cover travel and subsistence allowances and other related costs for experts and other persons invited to take part in study groups or working meetings, together with recruitment costs (costs of advertising posts, invitations for candidates, etc.).

    CHAPTER 2 6 —   EXPENDITURE ON STUDIES, SURVEYS AND CONSULTATIONS

    2 6 0   Limited consultations, studies and surveys

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    51 000

    50 000

    500,—

    Remarks

    This appropriation is intended to cover the financing of studies and/or surveys contracted out to qualified experts and research institutes, as well as the publication costs of such studies and associated costs.

    CHAPTER 2 7 —   EXPENDITURE ON PUBLISHING AND INFORMATION

    2 7 0   Expenditure on publishing and information

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    103 428

    101 400

    36 925,—

    Remarks

    This appropriation is intended to cover expenditure on publishing and information, and in particular:

    printing expenses for publications in the Official Journal of the European Union,

    the cost of printing and reproducing, in the official languages, various publications (annual report etc.),

    printed material (by traditional or electronic means) promoting information with regards to the European Data-protection Supervisor,

    any other expenses in connection with the institution's information policy (symposia, seminars, participation in public events, etc.).

    CHAPTER 2 9 —   SUBSIDIES AND FINANCIAL CONTRIBUTIONS

    2 9 9   Other subsidies

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    This appropriation is intended to cover expenditure (other than that in Article 2 7 0) related to the European Data-protection Supervisor's visitors groups as well as expenditure with regards to publicity and measures to inform the general public (among the other opinion multipliers) of the aims, activities and the role of the European Data-protection Supervisor.

    TITLE 10

    OTHER EXPENDITURE

    Article

    Item

    Heading

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

     

    CHAPTER 10 0

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 0 — TOTAL

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 1

    p.m.

    p.m.

    0,—

     

    CHAPTER 10 1 — TOTAL

    p.m.

    p.m.

    0,—

     

    Title 10 — Total

    p.m.

    p.m.

    0,—

     

    GRAND TOTAL

    4 955 726

    3 583 833

    2 284 704,20

    CHAPTER 10 0 —

    PROVISIONAL APPROPRIATIONS

    CHAPTER 10 1 —

    CONTINGENCY RESERVE

    CHAPTER 10 0 —   PROVISIONAL APPROPRIATIONS

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    Council Regulation (EC, Euratom) No 1605/2002 of 25 June 2002 on the Financial Regulation applicable to the general budget of the European Communities (OJ L 248, 16.9.2002, p. 1), as amended by Regulation (EC, Euratom) No 1995/2006 (OJ L 390, 30.12.2006, p. 1).

    CHAPTER 10 1 —   CONTINGENCY RESERVE

    Appropriations 2007

    Appropriations 2006

    Outturn 2005

    p.m.

    p.m.

    0,—

    Remarks

    This appropriation is intended to cover expenditure resulting from budgetary decisions taken in the course of the financial year (expenditure that cannot be estimated).


    (1)  The figures in this column correspond to those in the 2006 budget (OJ L 78, 15.3.2006, p. 1) plus Amending Budgets No 1 to No 6/2006.

    (2)  The third paragraph of Article 268 of the Treaty establishing the European Community reads: ‘The revenue and expenditure shown in the budget shall be in balance’.

    (3)  The figures in this column correspond to those in the 2006 budget (OJ L 78, 15.3.2006, p. 1) plus Amending Budgets No 1 to No 6/2006.

    (4)  The own resources for the 2007 budget are determined on the basis of the budget forecasts adopted at the 136th meeting of the Advisory Committee on Own Resources on 19 May 2006.

    (5)  The third paragraph of Article 268 of the Treaty establishing the European Community reads: ‘The revenue and expenditure shown in the budget shall be in balance’.

    (6)  The base to be used does not exceed 50 % of GNI.

    (7)  Calculation of rate: (79 152 835 808) / (116 942 340 000) = 0,676853531475426 %.

    (8)  Rounded percentages.

    (9)  The amount of pre-accession expenditure (PAE) corresponds to payments made to the 10 new Member States (which joined the EU on 1 May 2004) under 2003 appropriations, as adjusted by applying the EU GDP deflator for 2004 and 2005. This amount is deducted from total allocated expenditure to ensure that expenditure which is unabated before enlargement remains so after enlargement.

    (10)  The ‘UK advantage’ corresponds to the effects arising for the United Kingdom from the changeover to capped VAT and the introduction of the GNP/GNI-based own resource.

    (11)  These windfall gains correspond to the net gains of the United Kingdom resulting from the increase — from 10 to 25 % as of 1 January 2001 — in the percentage of traditional own resources retained by Member States to cover the collection costs of traditional own resources (TOR).

    (12)  p.m. (own resources + other revenue = total revenue = total expenditure); (114 287 945 060 + 1 209 273 561 = 115 497 218 621 = 115 497 218 621).

    (13)  Total own resources as percentage of GNI: (114 287 945 060) / (11 694 234 000 000) = 0,98 %; own resources ceiling as percentage of GNI: 1,24 %.

    (14)  Of which 22 ad personam promotions (two AD 14 to AD 15, two AST 10 to AST 11, one AST 6 to AST 7, 17 AST 4 to AST 4/5) granted in exceptional cases to deserving officials having reached the end of their career brackets (at least 60 years of age and having been in the last step of the highest grade in their category for at least two years) and after long service (at least 25 years).

    (15)  Notional reserve for officials seconded in the interests of the service not included in the grand total.

    (16)  Of which 22 for the President’s Office, 14 for the Secretariat of the Vice-Presidents, five for the Quaestors’ Secretariat, twelve for DG Presidency, 12 for DG Internal Policies (of which seven AD 8 until 31 December 2008), seven for DG External Policies (of which one AD 8 until 31 December 2008), 21 for DG Information, 10 for DG Personnel, nine for DG Infrastructure and Interpretation, two for DG Translation and Publishing, five for DG Finance (of which four half-time AD 5), three for the Staff Committee, one for the Directorate for Relations with Political Groups (NI Coordination) and four for the Legal Service.

    (17)  Of which 79 AD and 106 AST for external offices.

    (18)  The appropriations for the creation of one AD 9, two AD 5 and two AST 3 (web television channel), two AST 3 (buildings), two AD 5 and two AST 1 (translation) are placed in the reserve.

    (19)  One AD 5 and four AST 3 (professional training) are entered in the reserve on the establishment plan with no allocation of appropriations.

    (20)  Of which 25 ad personam promotions (two AD 14 to AD 15, two AST 10 to AST 11, three AST 6 to AST 7, 18 AST 4 to AST 4/5) granted in exceptional cases to deserving officials having reached the end of their career brackets (at least 60 years of age and having been in the last step of the highest grade in their category for at least two years) and after long service (at least 25 years).

    (21)  Notional reserve for officials seconded in the interests of the service not included in the grand total.

    (22)  Of which 22 for the President’s Office, 14 for the Secretariat of the Vice-Presidents, five AST for the Quaestors’ Secretariat, 10 for DG Presidency, 12 for DG Internal Policies (of which seven AD 8 until 31 December 2008), seven for DG External Policies (of which one AD 8 until 31 December 2008), 17 for DG Information, nine for DG Personnel, nine for DG Infrastructure and Interpretation, two for DG Translation and Publishing, five for DG Finance (of which four half-time AD 5), three for the Staff Committee and one for the Directorate for Relations with Political Groups (NI Coordination).

    (23)  Of which 67 AD and 125 AST for external offices.

    (24)  The appropriations for the creation of one AD 5 and four AST 3 (professional training) and one AD 5 and one AST 3 (electronic voting) are placed in the reserve. The appropriations for the creation of 74 posts (one AD 15, 30 AD, 43 AST) in the 2007 budget are placed in the reserve.

    (25)  Of which four A*16 ad personam

    (26)  Of which four A*16 ad personam

    (27)  Of which seven A*15 ad personam

    (28)  Of which seven A*15 ad personam

    (29)  Part time working in certain posts may be offset by the recruitment of other officials, subject to the balance of posts thus released in each category.

    (30)  Part time working in certain posts may be offset by the recruitment of other officials, subject to the balance of posts thus released in each category.

    (31)  Of which 27 AD 16 ad personam.

    (32)  Of which 27 AD 16 ad personam.

    (33)  Of which 22 AD 15 ad personam.

    (34)  Of which two AD 15 ad personam pursuant to Article 8 of the Staff Regulations.

    (35)  The duties of Director-General of the Agency are carried out by an AD 15 official ad personam appointed Director-General pursuant to Article 53 of the Treaty establishing the European Atomic Energy Community. The duties of deputy Director-General of the Agency are carried out by an AD 14 official appointed deputy Director-General pursuant to Article 53 of the Treaty establishing the European Atomic Energy Community.

    (36)  Of which 22 AD 15 ad personam.

    (37)  Of which two AD 15 ad personam pursuant to Article 8 of the Staff Regulations.

    (38)  The duties of Director-General of the Agency are carried out by an AD 15 official ad personam appointed Director-General pursuant to Article 53 of the Treaty establishing the European Atomic Energy Community. The duties of deputy Director-General of the Agency are carried out by an AD 14 official appointed deputy Director-General pursuant to Article 53 of the Treaty establishing the European Atomic Energy Community.

    (39)  Of which 13 AD 14 ad personam.

    (40)  Of which one AD 14 ad personam, this classification applying to the official who is eligible for it under the ruling of the Court of Justice in Cases 20/63 and 21/63, as well as Cases 79/63 and 82/63

    (41)  Of which 13 AD 14 ad personam.

    (42)  Of which one AD 14 ad personam, this classification applying to the official who is eligible for it under the ruling of the Court of Justice in Cases 20/63 and 21/63, as well as Cases 79/63 and 82/63

    (43)  Of which 13 AD 14 ad personam.

    (44)  Of which one AD 14 ad personam, this classification applying to the official who is eligible for it under the ruling of the Court of Justice in Cases 20/63 and 21/63, as well as Cases 79/63 and 82/63.

    (45)  Of which 13 AD 14 ad personam.

    (46)  Of which one AD 14 ad personam, this classification applying to the official who is eligible for it under the ruling of the Court of Justice in Cases 20/63 and 21/63, as well as Cases 79/63 and 82/63.

    (47)  Of which one AST 10 ad personam pursuant to Article 8 of the Staff Regulations.

    (48)  Of which one AST 10 ad personam pursuant to Article 8 of the Staff Regulations.

    (49)  Of which two posts for the Secretariat of the Economic and Monetary Committee.

    (50)  Of which two posts for the Secretariat of the Economic and Monetary Committee.

    (51)  Of which one official benefiting from the advantages provided for in Article 93 of the Staff Regulations.

    (52)  Of which one official benefiting from the advantages provided for in Article 93 of the Staff Regulations.

    (53)  Of which two AD 16 ad personam.

    (54)  Of which two AD 16 ad personam.

    (55)  Of which one AD 15 ad personam.

    (56)  Of which one AD 15 ad personam.

    (57)  Of which two posts of technical assistant and secretarial assistant.

    (58)  Half-time working in certain posts may be offset by the recruitment of other staff within the limit of the balance of posts thereby released in each category.

    (59)  Of which two posts of technical assistant and secretarial assistant.

    (60)  Half-time working in certain posts may be offset by the recruitment of other staff within the limit of the balance of posts thereby released in each category.

    (61)  The Establishment Plan was approved by the Budget Committee of the OHIM on 25 November 2005.

    (62)  Supplementary and amending budget of the CPVO approved by its Administrative Council at the meeting on 30 and 31 March 2005.

    (63)  Supplementary and amending budget of the CPVO approved by its Administrative Council at the meeting on 14 and 15 March 2006.

    (64)  Of which one AD 15 ad personam

    (65)  Of which one AD 15 ad personam.

    (66)  Of which one AD 15 ad personam.

    (67)  Of which one AD 15 ad personam.

    (68)  Of which one AD 14 ad personam.

    (69)  Of which one AD 14 ad personam.

    (70)  Not including the notional reserve, without allocation of appropriations, for officials seconded to Members of the Court of Justice or the Court of First Instance (six AD 12, six AD 11, twelve AD 10, one AD 7, eleven AST 6, seventeen AST 5, twenty- one AST 4, six AST 3).

    (71)  Not including the notional reserve, without allocation of appropriations, for officials seconded to Members of the Court of Justice or the Court of First Instance (six AD 12, six AD 11, twelve AD 10, eleven AST 6, seventeen AST 5, twenty- one AST 4, eight AST 3).

    (72)  Part- time working in certain posts may be offset by the recruitment of other staff within the limit of the balance of posts thereby released in each category.

    (73)  Part- time working in certain posts may be offset by the recruitment of other staff within the limit of the balance of posts thereby released in each category.

    (74)  The actual grade at which the posts assigned to the private offices are occupied will follow the same grading criteria as for officials recruited before 1 May 2004.

    (75)  Of which one AD 15 ad personam.

    (76)  Of which one AD 15 ad personam.

    (77)  Of which two new posts.

    (78)  Of which one AD 14 ad personam.

    (79)  Of which one AD 14 ad personam.

    (80)  Removal of two NAI posts.

    (81)  Removal of one NAI post.

    (82)  Of which two new posts.

    (83)  Of which ten new posts.

    (84)  Of which nineteen new posts.

    (85)  Secretarial assistant posts, of which one AST 8 ad personam.

    (86)  Of which two new posts.

    (87)  Secretarial assistant posts, of which one AST 8 ad personam.

    (88)  Of which two new posts.

    (89)  Of which six new posts.

    (90)  Of which four new posts.

    (91)  Part-time working in certain posts may be offset by the employment of other staff, within the limit of the balance of posts thus released in each category.

    (92)  Not including the virtual reserve, without allocation of appropriations, for seconded officials in Private Offices (one AD 14, two AD 13, five AD 12, five AD 11, twelve AD 10, two AD 9, six AD 8, one AST 11, one AST 10, one AST 9, one AST 8, four AST 7, ten AST 6, eight AST 5, nine AST 4, four AST 3, two AST 2, three AST 1).

    (93)  Not including the virtual reserve, without allocation of appropriations, for seconded officials in Private Offices (one AD 14, two AD 13, five AD 12, five AD 11, twelve AD 10, two AD 9, six AD 8, one AST 11, one AST 10, one AST 9, one AST 8, four AST 7, ten AST 6, eight AST 5, nine AST 4, four AST 3, two AST 2, one AST 1).

    (94)  To facilitate the implementation of an equitable promotion policy in the group secretariats, upgrading of an AST 6 T to AST 7 T and an AST 7 T to AST 8 T.

    (95)  For the President’s secretariat, the group secretariats and the buildings unit (for this last one, one temporary AD 8 post and one temporary AST 5 post made permanent).

    (96)  For the secretariat of the President and the group secretariats and the buildings unit (one A*8T and one B*5T authorised until 31 December 2006).

    (97)  To facilitate the implementation of an equitable promotion policy in the group secretariats, upgrading of an AST 6 T to AST 7 T and an AST 7 T to AST 8 T.

    (98)  For the President’s secretariat, the group secretariats and the buildings unit (for this last one, one temporary AD 8 post and one temporary AST 5 post made permanent).

    (99)  The part-time occupation of certain jobs may be compensated for by the employment of other staff, within the limits of the number of jobs thus freed up in each category.

    (100)  The part-time occupation of certain jobs may be compensated for by the employment of other staff, within the limits of the number of jobs thus freed up in each category.

    (101)  The part-time occupation of certain jobs may be compensated for by the employment of other staff, within the limits of the number of jobs thus freed up in each category.

    (102)  Of which one AD 14, one AD 9, two AD 6, one AST 7 and one AST 4 (temporaries) assigned to the President’s private office; two AD 12, two AD 11, one AD 10, three AD 9, one AD 8, one AD 7, three AD 6, four AST 5, two AST 4, four AST 3 and two AST 1 (temporaries) assigned to the political groups; and three temporary AD 5s for the translation service.

    (103)  The part-time occupation of certain jobs may be compensated for by the employment of other staff, within the limits of the number of jobs thus freed up in each category.

    (104)  Of which one AD 14, two AD 8, one AST 7 and one AST 4 (temporaries) assigned to the President’s private office; four AD 11, one AD 10, three AD 9, five AD 6, four AST 5, two AST4, three AST 3, one AST 2 and two AST 1 (temporaries) assigned to the political groups; and three temporary AD 5s for the translation service.

    (105)  These appropriations represent the cumulative amounts entered in Item 2 0 0 0 (rent), Item 2 0 0 1 (annual lease payments) and Item 2 0 0 3 (acquisition of immovable property).

    (106)  These appropriations represent the cumulative amounts entered in Item 2 0 0 0 (rent), Item 2 0 0 1 (annual lease payments) and Item 2 0 0 3 (acquisition of immovable property).

    (107)  As at the date of the financial statement established on 31 December 2005.

    (108)  This appropriation represents the cumulative amounts entered in Items 2 0 0 0 and 3 1 0 0 (rent) and Items 2 0 0 1 and 2 0 0 2 (acquisition of immovable property).

    (109)  This appropriation represents the cumulative amounts entered in Items 2 0 0 0 and 3 1 0 0 (rent) and Items 2 0 0 1 and 2 0 0 2 (acquisition of immovable property).

    (110)  As at the date of the financial statement established on 31 December 2005.

    (111)  Including the external offices and costs incurred in terms of expenditure on administrative infrastructure for research policy.

    (112)  Provisional amounts. The final amounts will be taken into account in the 2006 Financial Statements.

    (113)  OLAF will partially occupy the Joseph II 30 building which is included below in the list of the Commission's Brussels buildings.

    (114)  Net book value shown in the balance sheet as at 31 December 2005. Under the rental/purchasing contract of 15 November 1994 relating to the Palais annexes A, B and C, ownership of these buildings is due to pass to the Court in 2007.

    (115)  Long lease with option to purchase. Net value entered in balance sheet at 31 December 2005.

    (116)  Long lease with option to purchase. Net value entered in balance sheet at 31 December 2005.

    (117)  Provisional amounts. The final amounts will be taken into account in the 2006 Financial Statements.

    (118)  Long lease with option to purchase.

    (119)  Long lease with option to purchase.

    (120)  Long lease with option to purchase.

    (121)  Long lease with option to purchase.

    (122)  Long lease with option to purchase.

    (123)  Long lease with option to purchase.

    (124)  Long lease with option to purchase.

    (125)  Long lease with option to purchase (ex Marie de Bourgogne).

    (126)  Long lease with option to purchase.

    (127)  Long lease with option to purchase.

    (128)  Long lease with option to purchase.

    (129)  Long lease with option to purchase.

    (130)  Long lease with option to purchase.

    (131)  Long lease with option to purchase.

    (132)  Long lease with option to purchase (partially occupied by OLAF).

    (133)  Long lease with option to purchase.

    (134)  Long lease with option to purchase.

    (135)  Long lease with option to purchase.

    (136)  Long lease with option to purchase.

    (137)  Long lease with option to purchase.

    (138)  Long lease with option to purchase.

    (139)  Long lease with option to purchase.

    (140)  Lease/purchase.

    (141)  The buildings of the external services include 28 office buildings, 28 heads of delegation residences, 25 official staff residences, 1 parking space and 1 plot of land.

    (142)  An appropriation of EUR 317 157 is entered in Chapter 10 0.

    (143)  An appropriation of EUR 178 511 is entered in Chapter 10 0.

    (144)  An appropriation of EUR 2 069 is entered in Chapter 10 0.

    (145)  An appropriation of EUR 2 000 000 is entered in Chapter 10 0.

    (146)  An appropriation of EUR 10 000 000 is entered in Chapter 10 0.

    (147)  An appropriation of EUR 1 000 000 is entered in Chapter 10 0.

    (148)  An appropriation of EUR 2 000 000 is entered in Chapter 10 0.

    (149)  An appropriation of EUR 58 000 is entered in Chapter 10 0.

    (150)  An appropriation of EUR 73 000 is entered in Chapter 10 0.

    (151)  An appropriation of EUR 405 000 is entered in Chapter 10 0.

    (152)  An appropriation of EUR 317 157 is entered in Chapter 10 0.

    (153)  An appropriation of EUR 178 511 is entered in Chapter 10 0.

    (154)  An appropriation of EUR 2 069 is entered in Chapter 10 0.

    (155)  An appropriation of EUR 2 000 000 is entered in Chapter 10 0.

    (156)  An appropriation of EUR 10 000 000 is entered in Chapter 10 0.

    (157)  An appropriation of EUR 1 000 000 is entered in Chapter 10 0.

    (158)  An appropriation of EUR 2 000 000 is entered in Chapter 10 0.

    (159)  An appropriation of EUR 58 000 is entered in Chapter 10 0.

    (160)  An appropriation of EUR 73 000 is entered in Chapter 10 0.

    (161)  An appropriation of EUR 405 000 is entered in Chapter 10 0.

    (162)  An appropriation of EUR 2 000 000 is entered in Chapter 10 0.

    (163)  An appropriation of EUR 1 869 200 is entered in Chapter 10 0.

    (164)  An appropriation of EUR 8 000 000 is entered in Chapter 10 0.

    (165)  An appropriation of EUR 2 000 000 is entered in Chapter 10 0.

    (166)  An appropriation of EUR 3 695 291 is entered in Chapter 10 0.

    (167)  An appropriation of EUR 6 000 000 is entered in Chapter 10 0.

    (168)  An appropriation of EUR 2 000 000 is entered in Chapter 10 0.

    (169)  An appropriation of EUR 2 000 000 is entered in Chapter 10 0.

    (170)  An appropriation of EUR 1 869 200 is entered in Chapter 10 0.

    (171)  An appropriation of EUR 8 000 000 is entered in Chapter 10 0.

    (172)  An appropriation of EUR 2 000 000 is entered in Chapter 10 0.

    (173)  An appropriation of EUR 3 695 291 is entered in Chapter 10 0.

    (174)  An appropriation of EUR 6 000 000 is entered in Chapter 10 0.

    (175)  An appropriation of EUR 2 000 000 is entered in Chapter 10 0.

    (176)  An appropriation of EUR 1 132 065 is entered in Chapter 10 0.

    (177)  An appropriation of EUR 500 000 is entered in Chapter 10 0.

    (178)  An appropriation of EUR 250 000 is entered in Chapter 10 0.

    (179)  An appropriation of EUR 1 000 000 is entered in Chapter 10 0.

    (180)  An appropriation of EUR 2 023 000 is entered in Chapter 10 0.

    (181)  An appropriation of EUR 1 132 065 is entered in Chapter 10 0.

    (182)  An appropriation of EUR 500 000 is entered in Chapter 10 0.

    (183)  An appropriation of EUR 250 000 is entered in Chapter 10 0.

    (184)  An appropriation of EUR 1 000 000 is entered in Chapter 10 0.

    (185)  An appropriation of EUR 2 023 000 is entered in Chapter 10 0.

    (186)  An appropriation of EUR 1 500 000 is entered in Chapter 10 0.

    (187)  An appropriation of EUR 1 000 000 is entered in Chapter 10 0.

    (188)  An appropriation of EUR 1 500 000 is entered in Chapter 10 0.

    (189)  An appropriation of EUR 1 000 000 is entered in Chapter 10 0.

    (190)  An appropriation of EUR 300 000 is entered in Chapter 10 0.

    (191)  An appropriation of EUR 300 000 is entered in Chapter 10 0.


    Nahoru