Choose the experimental features you want to try

This document is an excerpt from the EUR-Lex website

Document 52005XC1028(11)

    European Medicines Agency — Publication of the final accounts for the financial year 2004

    OJ C 269, 28.10.2005, p. 17–20 (ES, CS, DA, DE, ET, EL, EN, FR, IT, LV, LT, HU, MT, NL, PL, PT, SK, SL, FI, SV)

    28.10.2005   

    EN

    Official Journal of the European Union

    C 269/17


    European Medicines Agency — Publication of the final accounts for the financial year 2004

    (2005/C 269/05)

    The complete version of the final accounts may be found at the following address:

    www.emea.eu.int

    Table 1

    Implementation of the budget for the financial year 2004

    (million euro)

    Revenue

    Expenditure

    Origin of revenue

    Revenue entered in the final budget for the financial year

    Revenue collected

    Expenditure allocation

    Appropriations in the final budget

    Appropriations carried over from the previous financial year

    Appropriations available

    (2004 budget and financial year 2003)

    entered

    committed

    paid

    carried over

    cancelled

    outstanding commitments

    paid

    cancelled

    appro-priations

    committed

    paid

    carried over

    cancelled

    Community subsidies (1)

    29 073

    29 022

    Title I

    Staff

    36 064

    34 151

    33 509

    642

    1 913

    534

    424

    110

    36 598

    34 685

    33 933

    642

    2 023

    Own revenue

    67 000

    67 350

    Title II

    Administration

    23 994

    23 878

    12 943

    10 935

    116

    7 265

    6 749

    516

    31 259

    31 143

    19 692

    10 935

    632

    Other revenue

    3 016

    3 013

    Title III

    Operating expenditure

    39 031

    38 686

    27 512

    11 174

    345

    8 316

    7 878

    438

    47 347

    47 002

    35 390

    11 174

    783

    Total

    99 089

    99 385

    Total

    99 089

    96 715

    73 964

    22 751

    2 374

    16 115

    15 051

    1 064

    115 204

    112 830

    89 015

    22 751

    3 438

    Table 2

    Revenue and expenditure accounts for the financial years 2004 and 2003

    (1000 euro)

     

    2004

    2003

    Revenue

    Fees relating to marketing authorisations

    68 412

    58 657

    Commission subsidy including subsidies received from the EEA

    20 529

    19 786

    Community subsidy for orphan medicines

    4 026

    2 814

    Contributions for Community programmes

    0

    1 208

    Administrative revenue

    1 973

    1 703

    Sundry revenue

    1 473

    1 788

    Total (a)

    96 413

    85 956

    Expenditure (2)

    Staff expenditure

    34 333

    29 663

    Administrative expenditure

    11 224

    10 835

    Operating expenditure

    38 573

    32 838

    Depreciation

    3 650

    2 364

    Other expenditure

    280

    0

    Total (b)

    88 060

    75 700

    Surplus from operating activities (c = a - b)

    8 353

    10 256

    Financial operations (e)

    1 160

    676

    Economic result (f = c + e)

    9 513

    10 932

    Table 3

    Balance sheet as at 31 December 2004 and 31 December 2003

    (1000 euro)

    Assets

    2004

    2003

    Liabilities

    2004

    2003

    Intangible assets

    5 109

    3 401

    Own capital

     

     

    Fixed assets

     

     

     

     

     

    Plant, machinery and tools

    2 480

    1 635

    Economic outturn

    9 513

    10 932

    Furniture and vehicle fleet

    1 375

    1 011

    Outturn carried over from previous financial years

    13 767

    6 872

    Computer equipment

    3 151

    2 548

    Subtotal

    23 280

    17 804

    Subtotal

    7 006

    5 194

     

     

     

     

     

     

    Current liabilities

     

     

     

     

     

    Salaries

    320

    0

    Current assets

     

     

    Amounts owed to Community institutions and bodies

    4 910

    479

    VAT paid and to be recovered

    1 888

    1 105

    Payment appropriations to be carried over

    13 151

    11 936

    Amounts receivable from Community institutions and bodies

    148

    107

    Sundry accounts payable

    106

    127

    Sundry accounts receivable

    1 795

    1 034

    Advances from customers

    11 250

    8 845

    Sundry receivables

    2 061

    64

    Subtotal

    29 737

    21 387

    Subtotal

    5 892

    2 310

     

     

     

    Available assets

    35 010

    28 286

     

     

     

    Total

    53 017

    39 191

    Total

    53 017

    39 191


    (1)  Includes subsidies received from the European Economic Area.

    (2)  The portion of the appropriations carried over which is to be regarded as expenditure for the financial year has been evaluated on an overall basis rather than on the basis of examining individual transactions.


    Top