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ISSN 1725-2423 doi:10.3000/17252423.C_2011.134.eng |
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Official Journal of the European Union |
C 134 |
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English edition |
Information and Notices |
Volume 54 |
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Notice No |
Contents |
page |
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IV Notices |
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NOTICES FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES |
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Court of Auditors |
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2011/C 134/01 |
Report on the budgetary and financial management for the financial year 2010 |
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EN |
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IV Notices
NOTICES FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES
Court of Auditors
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4.5.2011 |
EN |
Official Journal of the European Union |
C 134/1 |
REPORT ON THE BUDGETARY AND FINANCIAL MANAGEMENT FOR THE FINANCIAL YEAR 2010
2011/C 134/01
TABLE OF CONTENTS
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Paragraph |
Page |
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INTRODUCTION … |
1 - 2 |
2 |
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REVENUE … |
3 - 7 |
2 |
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Established entitlements 2010 and entitlements carried over from 2009 … |
3 - 7 |
2 |
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EXPENDITURE OF THE YEAR … |
8 - 25 |
3 |
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Final appropriations available, commitments and payments by title … |
8 - 9 |
3 |
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Budget transfers … |
10 |
4 |
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11 - 17 |
4 |
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18 - 25 |
6 |
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CARRY-OVERS OF 2009 … |
26 - 30 |
7 |
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Annexes |
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ANNEX I |
Revenue estimated, established entitlements and entitlements carried over … |
9 |
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ANNEX II |
Changes in appropriations of the year … |
11 |
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ANNEX III |
Use of appropriations of the year … |
15 |
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ANNEX IV |
Use of appropriations carried over from 2009 … |
19 |
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INTRODUCTION
Mission of the European Court of Auditors
The European Court of Auditors is the EU institution established by the Treaty to carry out the audit of EU finances. As the EU’s external auditor it contributes to improving EU financial management and acts as the independent guardian of the financial interests of the citizens of the Union.
The Court renders audit services through which it assesses the collection and spending of EU funds. It examines whether financial operations have been properly recorded and disclosed, legally and regularly executed and managed so as to ensure economy, efficiency and effectiveness. The Court communicates the results of its audits in clear, relevant and objective reports. It also provides its opinion on financial management issues.
The Court promotes accountability and transparency and assists the European Parliament and Council in overseeing the implementation of the EU budget, particularly during the discharge procedure. The Court is committed to being an efficient organisation at the forefront of developments in public audit and administration.
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1. |
The budgetary and financial management report for 2010 provides an overview on the implementation of the budget and explains events which had a significant impact on activities during the financial year. |
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2. |
The attached annexes (Annex I to Annex IV) provide a detailed picture by budget line. |
REVENUE
Established entitlements 2010 and entitlements carried over from 2009
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3. |
Established entitlements for the financial year 2010 came to a total of 18 932 771 euros (Table 1). Including the appropriations carried forward from the previous financial year (499 582 euros) and variations in 2010 (– 288 038 EUR) (Table 2) established entitlements amounted to an overall total of 19 144 315 euros. Table 1 Established entitlements 2010
Table 2 Entitlements carried over from 2009
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4. |
The established entitlements for the financial year 2010 (18 932 771 euros) represent 95,09 % of the estimated revenue of 20 132 000 euros, compared to 98,38 % (18 791 087 euros) in 2009. |
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5. |
The total revenue recovered as at 31 December 2010 is 19 068 923 euros, of which 18 927 934 euros are recoveries on entitlements established in 2010 (Table 1) and 140 989 euros came from entitlements established prior to the financial year (Table 2). |
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6. |
Of the 19 068 923 euros of revenue recovered, 18 494 010 euros (96,98 %) represent the deductions made from the salaries of Members, staff and other agents (taxes, pensions and sickness insurance) and the transfer in of pension rights by staff. Other revenue recovered in the financial year came to 574 912 euros. In total, 45 866 euros of bank interest was earned in 2010. By way of comparison, in 2009, the deductions made from the salaries of Members, staff and other agents (taxes, pensions and sickness insurance) and the transfer in of pension rights by staff amounted to 98,24 % and the other revenue for the financial year came to 330 250 euros, of which the bank interest earned was 58 973 euros. |
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7. |
The amount still to be collected at the end of the financial year equals to 75 393 euros, i.e. 0,39 % of entitlements established during the financial year and residual entitlements established in preceding financial years. This compares to 499 582 euros in 2009 representing 2,59 %. |
EXPENDITURE OF THE YEAR
Final appropriations available, commitments and payments by title
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8. |
The total appropriations available for the year 2010, the appropriations committed, the payments made during the year and the remaining amount to be carried over to 2011 are summarised in Table 3 and Table 4 below. |
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9. |
A more detailed analysis by chapter can be found in Table 6 to Table 9 below together with the explanatory notes on some specific chapters and/or items. Table 3 Final appropriations available and commitments by title
Table 4 Commitments and payments by title
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Budget transfers
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10. |
In the course of the financial year, the Court effected 22 budgetary transfers for a total amount of 1 626 968 euros (Table 5), one of which of 13 900 euros related to the transfer from the reserve to the operational budget line of the Translation Directorate. These transfers were undertaken to ensure the smooth working of the various departments of the Court and to meet any requirements this entailed. The effects of the transfers can be seen at item level and above in Annex II. Table 5 Budget transfers in 2010
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Title 1 — People working with the institution
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11. |
Table 6 and Table 7 below summarise the final appropriations, commitments and payments for 2010 in Title 1. Table 6 Final appropriations available and commitments in Title 1
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12. |
In 2010, the utilisation rate of appropriations of Title 1 equals 92,09 % (in 2009 this rate was 87,66 %). |
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13. |
Appropriations in Chapter 1 2 (officials and temporary staff) were utilised in 2010 at 92,80 % (in 2009 the rate was 86,86 %). This improved implementation rate includes the effect of the full accumulated arrears of the 2009 salary adjustment and the lower level of vacant positions. An amount of 6 786 893 euros was not used, partly due to the reduced but still continuing effects of delays in recruitment. The level of recruitment of competition laureates increased significantly at the end of 2009 and during 2010, the effects of which will be evident in 2011. A further reason is the fact that most agents who leave the institution do so at a relatively high grade while recruitment is almost entirely at entry grades. |
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14. |
This year’s utilisation rate of Chapter (Other staff and external services) of 77,97 % (in 2009 this rate was 82,67 %) was mainly caused by an unused budget of 502 213 euros in budget item (concerning mainly contract workers) and 233 891 euros in budget item (mainly concerning national and international civil servants and private sector staff seconded to the Court of Auditors). The under-utilisation in budget item was mainly due to efforts to reduce costs. For budget item , in 2010 the Court of Auditors adopted a policy which sets the numbers of such staff and this will therefore allow a more accurate budget establishment in the future. Table 7 Commitments and payments in Title 1
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15. |
In 2010, payments amounted to a total of 107 568 520 euros, equivalent to 90,76 % of the final appropriations and to 98,55 % of the total commitments (in 2009 these rates were 86,22 % and 98,36 % respectively). |
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16. |
Commitments carried over automatically to 2011 in accordance with Article 9(4) of the Financial Regulation amounted to 1 578 592 euros, i.e. 1,33 % of the final appropriations and 1,45 % of the total commitments (in 2009 these rates were 1,44 % and 1,64 % respectively). |
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17. |
The most important amount of the carry-over regarding Chapter concerns missions for staff with an amount of 456 940 euros. There are a number of missions carried out in 2010 for which expense claims were not received or had been received but not fully processed by the end of the financial year. Other amounts — contributing to the carry-over of Chapter — for which legal obligations existed but invoices were not received in 2010 are the early childhood centre (216 420 euros) and further training for staff (172 644 euros). |
Title 2 — Buildings, movable property, equipment and miscellaneous operating expenditure
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18. |
Table 8 and Table 9 below summarise the final appropriations, commitments and payments for 2010 in Title 2. Table 8 Final appropriations available and commitments in Title 2
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19. |
The rate of utilisation of appropriations in Title 2 reached 97,93 % in 2010 (compared to 99,74 % in 2009). Table 9 Commitments and payments in Title 2
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20. |
Payments amounted to a total of 14 105 303 euros (of which payments for the K3 building 1 361 544 euros), equivalent to 47,94 % of the final appropriations and to 48,96 % of the commitments (in 2009 these rates were 18,57 % and 18,61 % respectively). Commitments carried over to 2011 automatically in accordance with Article 9(4) of the Financial Regulation amounted to 14 706 015 euros, i.e. 49,98 % of the final appropriations and 51,04 % of the commitments (in 2009 these rates were 81,17 % and 81,39 % respectively). |
The building project K3 and comparison with 2009
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21. |
The second tranche of financing of 11 million euros for the Court’s K3 building project was included in the 2010 budget. This amount has been committed and a part of it paid in 2010. The balance carried forward to 2011 will cover contracts signed by the project manager on the Court’s behalf with construction companies and will be utilised in accordance with the submission made to the budgetary authority pursuant to Article 179(3) of the Financial Regulation on 13 January 2009. Construction work commenced in March 2010 and the project remains on time and within budget. |
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22. |
The K3 building project distorts the utilisation rates summarised in paragraph 20 above and makes a comparison with 2009 difficult. For a better comparison with the 2009 figures it is necessary to exclude the effects of this project. Excluding it, payments of Title 2 amounted to a total of 12 743 759 euros, equivalent to 69,18 % of the final appropriations and to 71,55 % of the commitments (in 2009 these rates were 70,16 % and 70,90 % respectively). Commitments automatically carried over to 2011 in accordance with Article 9(4) of the Financial Regulation amounted to 5 067 559 euros, i.e. 27,51 % of the final appropriations and 28,45 % of the commitments (in 2009 these rates were 28,80 % and 29,10 % respectively). |
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23. |
Of the 10 734 309 euros carried over in Chapter (Buildings and associated costs) 9 638 456 euros concern the building project K3. The other major amounts in Chapter which were committed but the invoices not received by the year-end were security (400 404 euros), cleaning and maintenance (360 968 euros) and energy consumption (274 928 euros). |
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24. |
The two budget lines which mainly contribute to the carry-over of 2 400 493 euros of Chapter (data processing, equipment and movable property: purchase, hire and maintenance) are budget item (external services for the operation, implementation and maintenance of software and systems) with an amount 1 772 390 euros and budget item (purchase, work on and maintenance of equipment and software) with an amount of 430 152 euros. The carry-over represents commitments for which legal obligations exist but the invoices were not yet received at the year end (services delivered but not yet invoiced, ongoing projects not yet invoiced and purchase of material not yet delivered and/or invoiced). The carry-over is at a comparable level to that of last year (2 785 661 euros of which 2 762 096 was paid during 2010). |
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25. |
In Chapter (information: acquisition, archiving, production and distribution), the carry-over concerns mainly budget item — Official Journal and budget item — Publications. The carry-over of 593 448 euros for budget item consists of the OJ publications of the last months of 2010 which will only be invoiced in 2011 (2). Regarding budget item — Publications — the carry-over of 284 187 euros covers the legal obligations for invoices not yet received (publication of some 2010 Special Reports). The same applies to budget item — Limited consultations, studies and surveys where 222 671 euros are carried over mainly for experts services for audit. |
CARRY-OVERS OF 2009
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26. |
The carry-overs of 2009 appropriations are shown in Table 10. Table 10 Carry-overs of 2009 appropriations to 2010
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27. |
Automatic carry-overs of appropriations (Article 9(4) of the Financial Regulation) from the financial year 2009 to the financial year 2010, totalling 61 197 589 euros, gave rise to payments amounting to 60 368 584 euros, i.e. an utilisation rate of 98,65 % (87,53 % in 2009). |
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28. |
Of the 54 964 716 euros payments on the carry-over budget of Chapter , 54 258 347 euros are payments of the budget line 2 0 0 3 (‘Acquisition of immovable property’) which concern the works for the construction of the K3 building started in March 2010. These payments covered by the first tranche of financing of 55 000 000 euros — included in the 2009 budget — concern contracts signed by the project manager (see paragraph 21) on the Court’s behalf with construction companies. |
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29. |
Within the above context, the project manager enters into financial commitments towards the construction companies. As a counter-balance to this, the contract between the Court and the project manager requires the Court to have sufficient funds, within the limits of what is available in the budget, to cover the liabilities of the project manager vis-à-vis the construction companies. To ensure this, the Court has signed a fiduciary contract with a local bank and thus holds the funds made available by the budgetary authority. The financial interest of the Union is at the same time protected by the use of the fiduciary contract. |
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30. |
This utilisation is in accordance with the submission made to the budgetary authority pursuant to Article 179(3). |
(1) Adjustment necessary after the outsourcing of the transfer in of pension rights.
(2) This includes the costs for the publication of the Annual Report, Special Reports, Specific Annual Reports, Report of the external auditor plus other related costs like distribution, stocking, etc.
ANNEX I
REVENUE ESTIMATED, ESTABLISHED ENTITLEMENTS AND ENTITLEMENTS CARRIED OVER
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(EUR) |
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Revenues — 2010 |
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Budget line |
Initial budget |
Established rights of the year |
Recovered of year |
To be recovered of year |
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Item Proceeds of the taxation of salaries, wages and allowances of Members of the institution, officials and other servants |
10 298 000,00 |
9 358 372,47 |
9 358 372,47 |
0,00 |
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Item Proceeds from the special levy on the salaries of Members of the institution, officials and other servants in active employment |
885 000,00 |
1 296 219,56 |
1 296 219,56 |
0,00 |
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CHAPTER MISCELLANEOUS TAXES AND DEDUCTIONS |
11 183 000,00 |
10 654 592,03 |
10 654 592,03 |
0,00 |
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Item Staff contribution to the pension scheme |
7 449 000,00 |
7 650 484,26 |
7 650 484,26 |
0,00 |
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Item Transfer or repayment of pension rights by staff |
1 300 000,00 |
48 110,16 |
48 110,16 |
0,00 |
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Item Contribution to the pension scheme by officials and temporary staff on leave on personal grounds |
0,00 |
86,62 |
86,62 |
0,00 |
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CHAPTER CONTRIBUTION TO PENSION SCHEMES |
8 749 000,00 |
7 698 681,04 |
7 698 681,04 |
0,00 |
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TITLE 4 REVENUE ACCRUING FROM PERSONS WORKING WITH THE INSTITUTION |
19 932 000,00 |
18 353 273,07 |
18 353 273,07 |
0,00 |
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Item Proceeds from the sale of other assets — Assigned revenue |
0,00 |
4 200,00 |
0,00 |
4 200,00 |
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Item Proceeds from the sale of publications, printed works and films — Assigned revenue |
0,00 |
16 281,41 |
16 281,41 |
0,00 |
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CHAPTER PROCEEDS FROM THE SALE OF MOVABLE PROPERTY (SUPPLIES) AND IMMOVABLE PROPERTY |
0,00 |
20 481,41 |
16 281,41 |
4 200,00 |
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Item Revenue from investments or loans granted, bank and other interest on the institution’s accounts |
0,00 |
45 866,43 |
45 866,43 |
0,00 |
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CHAPTER REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST |
0,00 |
45 866,43 |
45 866,43 |
0,00 |
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Item Revenue arising from the repayment of amounts wrongly paid - Assigned revenue |
0,00 |
512 791,92 |
512 154,64 |
637,28 |
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CHAPTER OTHER CONTRIBUTIONS AND REFUNDS CONNECTED WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTION |
0,00 |
512 791,92 |
512 154,64 |
637,28 |
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TITLE 5 REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTION |
0,00 |
579 139,76 |
574 302,48 |
4 837,28 |
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Item Miscellaneous revenue |
200 000,00 |
358,15 |
358,15 |
0,00 |
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CHAPTER MISCELLANEOUS REVENUE |
200 000,00 |
358,15 |
358,15 |
0,00 |
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TITLE 9 MISCELLANEOUS REVENUE |
200 000,00 |
358,15 |
358,15 |
0,00 |
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TOTAL |
20 132 000,00 |
18 932 770,98 |
18 927 933,70 |
4 837,28 |
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(EUR) |
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Revenue carried over |
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Budget line |
Rights from Y-1 |
Variations CO Y-1 |
Total CO Y-1 |
Recovered of year-1 |
To be recovered |
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Item Proceeds of the taxation of salaries, wages and allowances of Members of the institution, officials and other servants |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
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Item Proceeds from the special levy on the salaries of Members of the institution, officials and other servants in active employment |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
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CHAPTER MISCELLANEOUS TAXES AND DEDUCTIONS |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
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Item Staff contribution to the pension scheme |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
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Item Transfer or repayment of pension rights by staff |
497 779,75 |
– 288 037,53 |
209 742,22 |
139 186,24 |
70 555,98 |
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Item Contribution to the pension scheme by officials and temporary staff on leave on personal grounds |
1 550,29 |
0,00 |
1 550,29 |
1 550,29 |
0,00 |
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CHAPTER CONTRIBUTION TO PENSION SCHEMES |
499 330,04 |
– 288 037,53 |
211 292,51 |
140 736,53 |
70 555,98 |
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TITLE 4 REVENUE ACCRUING FROM PERSONS WORKING WITH THE INSTITUTION |
499 330,04 |
– 288 037,53 |
211 292,51 |
140 736,53 |
70 555,98 |
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Item Proceeds from the sale of publications, printed works and films — Assigned revenue |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
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CHAPTER PROCEEDS FROM THE SALE OF MOVABLE PROPERTY (SUPPLIES) AND IMMOVABLE PROPERTY |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
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Item Revenue from investments or loans granted, bank and other interest on the institution's accounts |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
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CHAPTER REVENUE FROM INVESTMENTS OR LOANS GRANTED, BANK AND OTHER INTEREST |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
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Item Revenue arising from the repayment of amounts wrongly paid — Assigned revenue |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
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CHAPTER OTHER CONTRIBUTIONS AND REFUNDS CONNECTED WITH THE ADMINISTRATIVE OPERATION OF THE INSTITUTION |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
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TITLE 5 REVENUE ACCRUING FROM THE ADMINISTRATIVE OPERATION OF THE INSTITUTION |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
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Item Miscellaneous revenue |
252,00 |
0,00 |
252,00 |
252,00 |
0,00 |
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CHAPTER MISCELLANEOUS REVENUE |
252,00 |
0,00 |
252,00 |
252,00 |
0,00 |
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TITLE 9 MISCELLANEOUS REVENUE |
252,00 |
0,00 |
252,00 |
252,00 |
0,00 |
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TOTAL |
499 582,04 |
– 288 037,53 |
211 544,51 |
140 988,53 |
70 555,98 |
ANNEX II
CHANGES IN APPROPRIATIONS OF THE YEAR
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(EUR) |
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Budget line |
Initial budget |
Supplements |
Transfers |
Appropriations year |
Carry-over by right Y-1 |
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Item Remuneration, allowances and pensions |
8 205 000,00 |
|
320 000,00 |
8 525 000,00 |
0,00 |
||
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Item Entitlements on entering and leaving the service |
778 000,00 |
|
0,00 |
778 000,00 |
0,00 |
||
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Article Remuneration and other entitlements |
8 983 000,00 |
|
320 000,00 |
9 303 000,00 |
0,00 |
||
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Item Temporary allowances |
1 126 000,00 |
|
– 175 000,00 |
951 000,00 |
0,00 |
||
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Article Temporary allowances |
1 126 000,00 |
|
– 175 000,00 |
951 000,00 |
0,00 |
||
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Item Pensions |
2 636 000,00 |
|
10 068,00 |
2 646 068,00 |
0,00 |
||
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Article Pensions |
2 636 000,00 |
|
10 068,00 |
2 646 068,00 |
0,00 |
||
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Item Missions |
324 000,00 |
|
0,00 |
324 000,00 |
89 394,69 |
||
|
Article Missions |
324 000,00 |
|
0,00 |
324 000,00 |
89 394,69 |
||
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Item Training |
140 000,00 |
|
0,00 |
140 000,00 |
23 406,75 |
||
|
Art Training |
140 000,00 |
|
0,00 |
140 000,00 |
23 406,75 |
||
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Item Provisional appropriation |
155 068,00 |
|
– 155 068,00 |
0,00 |
0,00 |
||
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Article Provisional appropriations |
155 068,00 |
|
– 155 068,00 |
0,00 |
0,00 |
||
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CHAPTER MEMBERS OF THE INSTITUTION |
13 364 068,00 |
|
0,00 |
13 364 068,00 |
112 801,44 |
||
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Item Remuneration and allowances |
91 008 515,00 |
|
0,00 |
91 008 515,00 |
0,00 |
||
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Item Paid overtime |
587 000,00 |
|
0,00 |
587 000,00 |
0,00 |
||
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Item Entitlements on entering and leaving the service and on transfer |
1 522 000,00 |
|
0,00 |
1 522 000,00 |
158 853,19 |
||
|
Article Remuneration and other entitlements |
93 117 515,00 |
|
0,00 |
93 117 515,00 |
158 853,19 |
||
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Item Allowances for staff retired in the interests of the service (Articles 41 and 50 of the Staff Regulations) |
0,00 |
|
0,00 |
0,00 |
0,00 |
||
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Article Allowances following early termination of service |
0,00 |
|
0,00 |
0,00 |
0,00 |
||
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Item Provisional appropriation |
1 128 015,00 |
|
0,00 |
1 128 015,00 |
0,00 |
||
|
Article Provisional appropriation |
1 128 015,00 |
|
0,00 |
1 128 015,00 |
0,00 |
||
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CHAPTER OFFICIALS AND TEMPORARY STAFF |
94 245 530,00 |
|
0,00 |
94 245 530,00 |
158 853,19 |
||
|
Item Other staff |
3 126 800,00 |
|
– 250 000,00 |
2 876 800,00 |
0,00 |
||
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Item In-service training and staff exchanges |
861 000,00 |
|
350 000,00 |
1 211 000,00 |
0,00 |
||
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Item Other external services |
299 000,00 |
|
– 100 000,00 |
199 000,00 |
2 396,18 |
||
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Item External services in the linguistic field |
264 100,00 |
|
13 900,00 |
278 000,00 |
34 847,41 |
||
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Article Other staff and external persons |
4 550 900,00 |
|
13 900,00 |
4 564 800,00 |
37 243,59 |
||
|
Item Provisional appropriation |
39 000,00 |
|
0,00 |
39 000,00 |
0,00 |
||
|
Article Provisional appropriation |
39 000,00 |
|
0,00 |
39 000,00 |
0,00 |
||
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CHAPTER OTHER STAFF AND EXTERNAL SERVICES |
4 589 900,00 |
|
13 900,00 |
4 603 800,00 |
37 243,59 |
||
|
Item Miscellaneous expenditure on recruitment |
142 000,00 |
|
0,00 |
142 000,00 |
63 215,02 |
||
|
Item Further training for staff |
1 030 000,00 |
|
0,00 |
1 030 000,00 |
350 648,36 |
||
|
Article Expenditure relating to staff management |
1 172 000,00 |
|
0,00 |
1 172 000,00 |
413 863,38 |
||
|
Item Missions |
3 450 000,00 |
|
0,00 |
3 450 000,00 |
703 000,00 |
||
|
Article Missions |
3 450 000,00 |
|
0,00 |
3 450 000,00 |
703 000,00 |
||
|
Item Social welfare |
25 000,00 |
|
0,00 |
25 000,00 |
2 000,00 |
||
|
Item Social contacts between members of staff and other welfare expenditure |
86 000,00 |
|
0,00 |
86 000,00 |
9 847,47 |
||
|
Article Assistance for staff of the institution |
111 000,00 |
|
0,00 |
111 000,00 |
11 847,47 |
||
|
Item Medical service |
277 000,00 |
|
0,00 |
277 000,00 |
53 084,74 |
||
|
Item Restaurant and canteens |
62 000,00 |
|
0,00 |
62 000,00 |
11 362,51 |
||
|
Item Early Childhood Centre |
1 239 000,00 |
|
0,00 |
1 239 000,00 |
145 667,85 |
||
|
Article Activities relating to all persons working for the institution |
1 578 000,00 |
|
0,00 |
1 578 000,00 |
210 115,10 |
||
|
CHAPTER OTHER EXPENDITURE RELATING TO PERSONS WORKING FOR THE INSTITUTION |
6 311 000,00 |
|
0,00 |
6 311 000,00 |
1 338 825,95 |
||
|
TITLE 1 — PERSONS WORKING WITH THE INSTITUTION |
118 510 498,00 |
|
13 900,00 |
118 524 398,00 |
1 647 724,17 |
||
|
Item Rent |
3 884 000,00 |
|
–48 500,00 |
3 835 500,00 |
32 698,41 |
||
|
Item Acquisition of immovable property |
11 000 000,00 |
|
0,00 |
11 000 000,00 |
54 261 847,41 |
||
|
Item Fitting-out of premises |
165 000,00 |
|
0,00 |
165 000,00 |
196 549,44 |
||
|
Item Studies and technical assistance in connection with building projects |
30 000,00 |
|
48 500,00 |
78 500,00 |
37 023,95 |
||
|
Article Buildings |
15 079 000,00 |
|
0,00 |
15 079 000,00 |
54 528 119,21 |
||
|
Item Cleaning and maintenance |
1 153 000,00 |
|
65 000,00 |
1 218 000,00 |
191 333,35 |
||
|
Item Energy consumption |
1 012 000,00 |
|
0,00 |
1 012 000,00 |
246 714,94 |
||
|
Item Security and surveillance of buildings |
1 121 000,00 |
|
0,00 |
1 121 000,00 |
124 965,36 |
||
|
Item Insurance |
73 000,00 |
|
–22 000,00 |
51 000,00 |
5 120,65 |
||
|
Item Other expenditure on buildings |
80 000,00 |
|
0,00 |
80 000,00 |
14 966,24 |
||
|
Article Expenditure on buildings |
3 439 000,00 |
|
43 000,00 |
3 482 000,00 |
583 100,54 |
||
|
CHAPTER BUILDINGS AND ASSOCIATED COSTS |
18 518 000,00 |
|
43 000,00 |
18 561 000,00 |
55 111 219,75 |
||
|
Item Purchase, work on and maintenance of equipment and software |
2 164 333,00 |
|
– 450 000,00 |
1 714 333,00 |
766 688,24 |
||
|
Item External services for the operation, implementation and maintenance of software and systems |
3 538 000,00 |
|
450 000,00 |
3 988 000,00 |
1 719 417,57 |
||
|
Item Telecommunications |
663 000,00 |
|
0,00 |
663 000,00 |
169 428,91 |
||
|
Article Equipment, operating costs and services relating to data processing and telecommunications |
6 365 333,00 |
|
0,00 |
6 365 333,00 |
2 655 534,72 |
||
|
Item Furniture |
137 000,00 |
|
0,00 |
137 000,00 |
73 227,59 |
||
|
Article Furniture |
137 000,00 |
|
0,00 |
137 000,00 |
73 227,59 |
||
|
Item Technical equipment and installations |
130 000,00 |
|
0,00 |
130 000,00 |
46 383,80 |
||
|
Article Technical equipment and installations |
130 000,00 |
|
0,00 |
130 000,00 |
46 383,80 |
||
|
Item Vehicles |
610 000,00 |
|
–43 000,00 |
567 000,00 |
10 514,33 |
||
|
Article Vehicles |
610 000,00 |
|
–43 000,00 |
567 000,00 |
10 514,33 |
||
|
CHAPTER DATA PROCESSING, EQUIPMENT AND MOVABLE PROPERTY: PURCHASE, HIRE AND MAINTENANCE |
7 242 333,00 |
|
–43 000,00 |
7 199 333,00 |
2 785 660,44 |
||
|
Item Stationery, office supplies and miscellaneous consumables |
155 000,00 |
|
0,00 |
155 000,00 |
70 435,66 |
||
|
Article Stationery, office supplies and miscellaneous consumables |
155 000,00 |
|
0,00 |
155 000,00 |
70 435,66 |
||
|
Item Financial charges |
20 000,00 |
|
0,00 |
20 000,00 |
0,00 |
||
|
Article Financial charges |
20 000,00 |
|
0,00 |
20 000,00 |
0,00 |
||
|
Item Legal expenses |
20 000,00 |
|
16 000,00 |
36 000,00 |
406,92 |
||
|
Article Legal expenses and damages |
20 000,00 |
|
16 000,00 |
36 000,00 |
406,92 |
||
|
Item Postage and delivery charges |
60 000,00 |
|
0,00 |
60 000,00 |
15 681,22 |
||
|
Article Postage and delivery charges |
60 000,00 |
|
0,00 |
60 000,00 |
15 681,22 |
||
|
Item Other administrative expenditure |
149 000,00 |
|
10 000,00 |
159 000,00 |
28 280,58 |
||
|
Article Other administrative expenditure |
149 000,00 |
|
10 000,00 |
159 000,00 |
28 280,58 |
||
|
CHAPTER CURRENT ADMINISTRATIVE EXPENDITURE |
404 000,00 |
|
26 000,00 |
430 000,00 |
114 804,38 |
||
|
Item Entertainment and representation expenses |
252 000,00 |
|
–10 000,00 |
242 000,00 |
100 956,64 |
||
|
Article Entertainment and representation expenses |
252 000,00 |
|
–10 000,00 |
242 000,00 |
100 956,64 |
||
|
Item Meetings, congresses and conferences |
127 000,00 |
|
0,00 |
127 000,00 |
18 075,34 |
||
|
Article Meetings, congresses and conferences |
127 000,00 |
|
0,00 |
127 000,00 |
18 075,34 |
||
|
Item Expenditure on the dissemination of information and on participation in public events |
17 000,00 |
|
0,00 |
17 000,00 |
1 184,95 |
||
|
Article Expenditure on the dissemination of information and on participation in public events |
17 000,00 |
|
0,00 |
17 000,00 |
1 184,95 |
||
|
Item Joint Interpreting and Conference Service |
472 000,00 |
|
0,00 |
472 000,00 |
94 973,25 |
||
|
Article Joint interpreting and Conference Service |
472 000,00 |
|
0,00 |
472 000,00 |
94 973,25 |
||
|
CHAPTER MEETINGS AND CONFERENCES |
868 000,00 |
|
–10 000,00 |
858 000,00 |
215 190,18 |
||
|
Item Limited consultations, studies and surveys |
585 000,00 |
|
0,00 |
585 000,00 |
288 547,56 |
||
|
Article Limited consultations, studies and surveys |
585 000,00 |
|
0,00 |
585 000,00 |
288 547,56 |
||
|
Item Documentation, library and archiving expenditure |
304 000,00 |
|
0,00 |
304 000,00 |
20 089,19 |
||
|
Article Documentation, library and archiving expenditure |
304 000,00 |
|
0,00 |
304 000,00 |
20 089,19 |
||
|
Item Official Journal |
700 000,00 |
|
–16 000,00 |
684 000,00 |
735 995,19 |
||
|
Item Publications of a general nature |
800 000,00 |
|
0,00 |
800 000,00 |
278 358,25 |
||
|
Article Production and distribution |
1 500 000,00 |
|
–16 000,00 |
1 484 000,00 |
1 014 353,44 |
||
|
CHAPTER INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISTRIBUTION |
2 389 000,00 |
|
–16 000,00 |
2 373 000,00 |
1 322 990,19 |
||
|
TITLE 2 — BUILDINGS, MOVABLE PROPERTY, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE |
29 421 333,00 |
|
0,00 |
29 421 333,00 |
59 549 864,94 |
||
|
13 900,00 |
|
–13 900,00 |
0,00 |
0,00 |
||
|
CHAP PROVISIONAL APPROPRIATION |
13 900,00 |
|
–13 900,00 |
0,00 |
0,00 |
||
|
TITLE - OTHER EXPENDITURE |
13 900,00 |
|
–13 900,00 |
0,00 |
0,00 |
||
|
TOTAL |
147 945 731,00 |
|
0,00 |
147 945 731,00 |
61 197 589,11 |
||
ANNEX III
USE OF APPROPRIATIONS OF THE YEAR
|
(EUR) |
||||||
|
Budget line |
Appropriations year |
Commitments |
Payments |
Available on comt |
Carry-over right Y+1 |
Cancelled appropriations |
|
Item Remuneration, allowances and pensions |
8 525 000,00 |
8 439 265,02 |
8 439 265,02 |
0,00 |
0,00 |
85 734,98 |
|
Item Entitlements on entering and leaving the service |
778 000,00 |
652 440,41 |
545 019,80 |
107 420,61 |
107 420,61 |
125 559,59 |
|
Article Remuneration and other entitlements |
9 303 000,00 |
9 091 705,43 |
8 984 284,82 |
107 420,61 |
107 420,61 |
211 294,57 |
|
Item Temporary allowances |
951 000,00 |
920 877,68 |
920 877,68 |
0,00 |
0,00 |
30 122,32 |
|
Article Temporary allowances |
951 000,00 |
920 877,68 |
920 877,68 |
0,00 |
0,00 |
30 122,32 |
|
Article Pensions |
2 646 068,00 |
2 599 228,13 |
2 599 228,13 |
0,00 |
0,00 |
46 839,87 |
|
Item Missions |
324 000,00 |
274 703,30 |
144 595,30 |
130 108,00 |
130 108,00 |
49 296,70 |
|
Article Missions |
324 000,00 |
274 703,30 |
144 595,30 |
130 108,00 |
130 108,00 |
49 296,70 |
|
Item Training |
140 000,00 |
93 349,36 |
38 263,88 |
55 085,48 |
55 085,48 |
46 650,64 |
|
Article Training |
140 000,00 |
93 349,36 |
38 263,88 |
55 085,48 |
55 085,48 |
46 650,64 |
|
Item Provisional appropriation |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
|
Article Provisional appropriations |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
|
CHAPTER MEMBERS OF THE INSTITUTION |
13 364 068,00 |
12 979 863,90 |
12 687 249,81 |
292 614,09 |
292 614,09 |
384 204,10 |
|
Item Remuneration and allowances |
91 008 515,00 |
85 608 074,84 |
85 608 074,84 |
0,00 |
0,00 |
5 400 440,16 |
|
Item Paid overtime |
587 000,00 |
462 234,15 |
462 234,15 |
0,00 |
0,00 |
124 765,85 |
|
Item Entitlements on entering and leaving the service and on transfer |
1 522 000,00 |
1 388 328,11 |
1 033 468,56 |
354 859,55 |
354 859,55 |
133 671,89 |
|
Article Remuneration and other entitlements |
93 117 515,00 |
87 458 637,10 |
87 103 777,55 |
354 859,55 |
354 859,55 |
5 658 877,90 |
|
Item Allowances for staff retired in the interests of the service (Articles 41 and 50 of the Staff Regulations) |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
|
Article Allowances following early termination of service |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
|
Item Provisional appropriation |
1 128 015,00 |
0,00 |
0,00 |
0,00 |
0,00 |
1 128 015,00 |
|
Article Provisional appropriation |
1 128 015,00 |
0,00 |
0,00 |
0,00 |
0,00 |
1 128 015,00 |
|
CHAPTER OFFICIALS AND TEMPORARY STAFF |
94 245 530,00 |
87 458 637,10 |
87 103 777,55 |
354 859,55 |
354 859,55 |
6 786 892,90 |
|
Item Other staff |
2 876 800,00 |
2 374 587,02 |
2 374 587,02 |
0,00 |
0,00 |
502 212,98 |
|
Item In-service training and staff exchanges |
1 211 000,00 |
977 109,34 |
977 109,34 |
0,00 |
0,00 |
233 890,66 |
|
Item Other external services |
199 000,00 |
3 064,75 |
3 064,75 |
0,00 |
0,00 |
195 935,25 |
|
Item External services in the linguistic field |
278 000,00 |
234 837,57 |
212 598,68 |
22 238,89 |
22 238,89 |
43 162,43 |
|
Article Other staff and external persons |
4 564 800,00 |
3 589 598,68 |
3 567 359,79 |
22 238,89 |
22 238,89 |
975 201,32 |
|
Item Provisional appropriation |
39 000,00 |
0,00 |
0,00 |
0,00 |
0,00 |
39 000,00 |
|
Article Provisional appropriation |
39 000,00 |
0,00 |
0,00 |
0,00 |
0,00 |
39 000,00 |
|
CHAPTER OTHER STAFF AND EXTERNAL SERVICES |
4 603 800,00 |
3 589 598,68 |
3 567 359,79 |
22 238,89 |
22 238,89 |
1 014 201,32 |
|
Item Miscellaneous expenditure on recruitment |
142 000,00 |
55 500,00 |
45 198,13 |
10 301,87 |
10 301,87 |
86 500,00 |
|
Item Further training for staff |
1 030 000,00 |
593 882,65 |
421 238,41 |
172 644,24 |
172 644,24 |
436 117,35 |
|
Article Expenditure relating to staff management |
1 172 000,00 |
649 382,65 |
466 436,54 |
182 946,11 |
182 946,11 |
522 617,35 |
|
Item Missions |
3 450 000,00 |
3 231 559,72 |
2 774 619,73 |
456 939,99 |
456 939,99 |
218 440,28 |
|
Article Missions |
3 450 000,00 |
3 231 559,72 |
2 774 619,73 |
456 939,99 |
456 939,99 |
218 440,28 |
|
Item Social welfare |
25 000,00 |
11 000,00 |
2 357,69 |
8 642,31 |
8 642,31 |
14 000,00 |
|
Item Social contacts between members of staff and other welfare expenditure |
86 000,00 |
53 649,51 |
53 649,51 |
0,00 |
0,00 |
32 350,49 |
|
Article Assistance for staff of the institution |
111 000,00 |
64 649,51 |
56 007,20 |
8 642,31 |
8 642,31 |
46 350,49 |
|
Item Medical service |
277 000,00 |
80 985,25 |
49 628,23 |
31 357,02 |
31 357,02 |
196 014,75 |
|
Item Restaurant and canteens |
62 000,00 |
46 756,91 |
34 182,19 |
12 574,72 |
12 574,72 |
15 243,09 |
|
Item Early Childhood Centre |
1 239 000,00 |
1 045 677,87 |
829 258,34 |
216 419,53 |
216 419,53 |
193 322,13 |
|
Article Activities relating to all persons working for the institution |
1 578 000,00 |
1 173 420,03 |
913 068,76 |
260 351,27 |
260 351,27 |
404 579,97 |
|
CHAPTER OTHER EXPENDITURE RELATING TO PERSONS WORKING FOR THE INSTITUTION |
6 311 000,00 |
5 119 011,91 |
4 210 132,23 |
908 879,68 |
908 879,68 |
1 191 988,09 |
|
TITLE 1 — PERSONS WORKING WITH THE INSTITUTION |
118 524 398,00 |
109 147 111,59 |
107 568 519,38 |
1 578 592,21 |
1 578 592,21 |
9 377 286,41 |
|
Item Rent |
3 835 500,00 |
3 835 500,00 |
3 814 961,41 |
20 538,59 |
20 538,59 |
0,00 |
|
Item Acquisition of immovable property |
11 000 000,00 |
11 000 000,00 |
1 361 544,36 |
9 638 455,64 |
9 638 455,64 |
0,00 |
|
Item Fitting-out of premises |
165 000,00 |
164 991,55 |
152 947,47 |
12 044,08 |
12 044,08 |
8,45 |
|
Item Studies and technical assistance in connection with building projects |
78 500,00 |
53 023,46 |
51 349,24 |
1 674,22 |
1 674,22 |
25 476,54 |
|
Article Buildings |
15 079 000,00 |
15 053 515,01 |
5 380 802,48 |
9 672 712,53 |
9 672 712,53 |
25 484,99 |
|
Item Cleaning and maintenance |
1 218 000,00 |
1 217 797,55 |
856 829,80 |
360 967,75 |
360 967,75 |
202,45 |
|
Item Energy consumption |
1 012 000,00 |
1 012 000,00 |
737 071,52 |
274 928,48 |
274 928,48 |
0,00 |
|
Item Security and surveillance of buildings |
1 121 000,00 |
976 279,89 |
575 875,67 |
400 404,22 |
400 404,22 |
144 720,11 |
|
Item Insurance |
51 000,00 |
51 000,00 |
46 678,87 |
4 321,13 |
4 321,13 |
0,00 |
|
Item Other expenditure on buildings |
80 000,00 |
80 000,00 |
59 024,83 |
20 975,17 |
20 975,17 |
0,00 |
|
Article Expenditure on buildings |
3 482 000,00 |
3 337 077,44 |
2 275 480,69 |
1 061 596,75 |
1 061 596,75 |
144 922,56 |
|
CHAPTER BUILDINGS AND ASSOCIATED COSTS |
18 561 000,00 |
18 390 592,45 |
7 656 283,17 |
10 734 309,28 |
10 734 309,28 |
170 407,55 |
|
Item Purchase, work on and maintenance of equipment and software |
1 714 333,00 |
1 714 318,57 |
1 284 166,30 |
430 152,27 |
430 152,27 |
14,43 |
|
Item External services for the operation, implementation and maintenance of software and systems |
3 988 000,00 |
3 988 000,00 |
2 215 610,07 |
1 772 389,93 |
1 772 389,93 |
0,00 |
|
Item Telecommunications |
663 000,00 |
662 999,92 |
534 925,07 |
128 074,85 |
128 074,85 |
0,08 |
|
Article Equipment. operating costs and services relating to data processing and telecommunictaions |
6 365 333,00 |
6 365 318,49 |
4 034 701,44 |
2 330 617,05 |
2 330 617,05 |
14,51 |
|
Item Furniture |
137 000,00 |
136 499,68 |
112 554,64 |
23 945,04 |
23 945,04 |
500,32 |
|
Article Furniture |
137 000,00 |
136 499,68 |
112 554,64 |
23 945,04 |
23 945,04 |
500,32 |
|
Item Technical equipment and installations |
130 000,00 |
127 173,22 |
93 060,54 |
34 112,68 |
34 112,68 |
2 826,78 |
|
Article Technical equipment and installations |
130 000,00 |
127 173,22 |
93 060,54 |
34 112,68 |
34 112,68 |
2 826,78 |
|
Item Vehicles |
567 000,00 |
507 590,51 |
495 773,05 |
11 817,46 |
11 817,46 |
59 409,49 |
|
Article Vehicles |
567 000,00 |
507 590,51 |
495 773,05 |
11 817,46 |
11 817,46 |
59 409,49 |
|
CHAPTER DATA PROCESSING, EQUIPMENT AND MOVABLE PROPERTY: PURCHASE, HIRE AND MAINTENANCE |
7 199 333,00 |
7 136 581,90 |
4 736 089,67 |
2 400 492,23 |
2 400 492,23 |
62 751,10 |
|
Item Stationery, office supplies and miscellaneous consumables |
155 000,00 |
154 045,02 |
106 050,36 |
47 994,66 |
47 994,66 |
954,98 |
|
Article Stationery, office supplies and miscellaneous consumables |
155 000,00 |
154 045,02 |
106 050,36 |
47 994,66 |
47 994,66 |
954,98 |
|
Item Financial charges |
20 000,00 |
20 000,00 |
15 042,00 |
4 958,00 |
4 958,00 |
0,00 |
|
Article Financial charges |
20 000,00 |
20 000,00 |
15 042,00 |
4 958,00 |
4 958,00 |
0,00 |
|
Item Legal expenses |
36 000,00 |
36 000,00 |
0,00 |
36 000,00 |
36 000,00 |
0,00 |
|
Article Legal expenses and damages |
36 000,00 |
36 000,00 |
0,00 |
36 000,00 |
36 000,00 |
0,00 |
|
Item Postage and delivery charges |
60 000,00 |
43 105,00 |
28 092,53 |
15 012,47 |
15 012,47 |
16 895,00 |
|
Article Postage and delivery charges |
60 000,00 |
43 105,00 |
28 092,53 |
15 012,47 |
15 012,47 |
16 895,00 |
|
Item Other administrative expenditure |
159 000,00 |
152 746,87 |
124 308,36 |
28 438,51 |
28 438,51 |
6 253,13 |
|
Article Other administrative expenditure |
159 000,00 |
152 746,87 |
124 308,36 |
28 438,51 |
28 438,51 |
6 253,13 |
|
CHAPTER CURRENT ADMINISTRATIVE EXPENDITURE |
430 000,00 |
405 896,89 |
273 493,25 |
132 403,64 |
132 403,64 |
24 103,11 |
|
Item Entertainment and representation expenses |
242 000,00 |
238 885,90 |
136 918,04 |
101 967,86 |
101 967,86 |
3 114,10 |
|
Article Entertainment and representation expenses |
242 000,00 |
238 885,90 |
136 918,04 |
101 967,86 |
101 967,86 |
3 114,10 |
|
Item Meetings, congresses and conferences |
127 000,00 |
118 838,13 |
91 194,15 |
27 643,98 |
27 643,98 |
8 161,87 |
|
Article Meetings, congresses and conferences |
127 000,00 |
118 838,13 |
91 194,15 |
27 643,98 |
27 643,98 |
8 161,87 |
|
Item Expenditure on the dissemination of information and on participation in public events |
17 000,00 |
16 999,24 |
12 943,39 |
4 055,85 |
4 055,85 |
0,76 |
|
Article Expenditure on the dissemination of information and on participation in public events |
17 000,00 |
16 999,24 |
12 943,39 |
4 055,85 |
4 055,85 |
0,76 |
|
Item Joint interpreting and Conference Service |
472 000,00 |
472 000,00 |
401 321,22 |
70 678,78 |
70 678,78 |
0,00 |
|
Article Joint interpreting and Conference Service |
472 000,00 |
472 000,00 |
401 321,22 |
70 678,78 |
70 678,78 |
0,00 |
|
CHAPTER MEETINGS AND CONFERENCES |
858 000,00 |
846 723,27 |
642 376,80 |
204 346,47 |
204 346,47 |
11 276,73 |
|
Item Limited consultations, studies and surveys |
585 000,00 |
450 253,97 |
227 583,42 |
222 670,55 |
222 670,55 |
134 746,03 |
|
Article Limited consultations, studies and surveys |
585 000,00 |
450 253,97 |
227 583,42 |
222 670,55 |
222 670,55 |
134 746,03 |
|
Item Documentation, library and archiving expenditure |
304 000,00 |
300 302,65 |
209 391,59 |
90 911,06 |
90 911,06 |
3 697,35 |
|
Article Documentation, library and archiving expenditure |
304 000,00 |
300 302,65 |
209 391,59 |
90 911,06 |
90 911,06 |
3 697,35 |
|
Item Official Journal |
684 000,00 |
684 000,00 |
90 552,05 |
593 447,95 |
593 447,95 |
0,00 |
|
Item Publications of a general nature |
800 000,00 |
596 967,77 |
269 533,84 |
327 433,93 |
327 433,93 |
203 032,23 |
|
Article Production and distribution |
1 484 000,00 |
1 280 967,77 |
360 085,89 |
920 881,88 |
920 881,88 |
203 032,23 |
|
CHAPTER INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISTRIBUTION |
2 373 000,00 |
2 031 524,39 |
797 060,90 |
1 234 463,49 |
1 234 463,49 |
341 475,61 |
|
TOTAL TITLE 2 — BUILDINGS, MOVABLE PROPERTY, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE |
29 421 333,00 |
28 811 318,90 |
14 105 303,79 |
14 706 015,11 |
14 706 015,11 |
610 014,10 |
|
TOTAL |
147 945 731,00 |
137 958 430,49 |
121 673 823,17 |
16 284 607,32 |
16 284 607,32 |
9 987 300,51 |
ANNEX IV
USE OF APPROPRIATIONS CARRIED OVER FROM 2009
|
(EUR) |
||||
|
|
Carry-over by right |
Cancelled appropriations |
Carry-over by decision |
|
|
Budget line |
Carry-over by right |
Payments CO right |
|
|
|
Item Missions |
89 394,69 |
77 241,2 |
12 153,49 |
0,00 |
|
Article Missions |
89 394,69 |
77 241,2 |
12 153,49 |
0,00 |
|
Item Training |
23 406,75 |
18 655,88 |
4 750,87 |
0,00 |
|
Article Training |
23 406,75 |
18 655,88 |
4 750,87 |
0,00 |
|
CHAPTER MEMBERS OF THE INSTITUTION |
112 801,44 |
95 897,08 |
16 904,36 |
0,00 |
|
Item Entitlements on entering and leaving the service and on transfer |
158 853,19 |
128 416,03 |
30 437,16 |
0,00 |
|
Article Remuneration and other entitlements |
158 853,19 |
128 416,03 |
30 437,16 |
0,00 |
|
CHAPTER OFFICIALS AND TEMPORARY STAFF |
158 853,19 |
128 416,03 |
30 437,16 |
0,00 |
|
Item In-service training and staff exchanges |
0,00 |
0,00 |
0,00 |
0,00 |
|
Item Other external services |
2 396,18 |
1 776,25 |
619,93 |
0,00 |
|
Item External services in the linguistic field |
34 847,41 |
26 582,53 |
8 264,88 |
0,00 |
|
Article Other staff and external persons |
37 243,59 |
28 358,78 |
8 884,81 |
0,00 |
|
CHAPTER OTHER STAFF AND EXTERNAL SERVICES |
37 243,59 |
28 358,78 |
8 884,81 |
0,00 |
|
Item Miscellaneous expenditure on recruitment |
63 215,02 |
10 507,24 |
52 707,78 |
0,00 |
|
Item Further training for staff |
350 648,36 |
336 612,86 |
14 035,50 |
0,00 |
|
Article Expenditure relating to staff management |
413 863,38 |
347 120,10 |
66 743,28 |
0,00 |
|
Item Missions |
703 000,00 |
702 383,95 |
616,05 |
0,00 |
|
Article Missions |
703 000,00 |
702 383,95 |
616,05 |
0,00 |
|
Item Social welfare |
2 000,00 |
1 268,99 |
731,01 |
0,00 |
|
Item Social contacts between members of staff and other welfare expenditure |
9 847,47 |
2 500,00 |
7 347,47 |
0,00 |
|
Article Assistance for staff of the institution |
11 847,47 |
3 768,99 |
8 078,48 |
0,00 |
|
Item Medical service |
53 084,74 |
14 631,49 |
38 453,25 |
0,00 |
|
Item Restaurant and canteens |
11 362,51 |
11 192,08 |
170,43 |
0,00 |
|
Item Early Childhood Centre |
145 667,85 |
121 200,71 |
24 467,14 |
0,00 |
|
Article Activities relating to all persons working for the institution |
210 115,10 |
147 024,28 |
63 090,82 |
0,00 |
|
CHAPTER OTHER EXPENDITURE RELATING TO PERSONS WORKING FOR THE INSTITUTION |
1 338 825,95 |
1 200 297,32 |
138 528,63 |
0,00 |
|
TITLE 1 — PERSONS WORKING WITH THE INSTITUTION |
1 647 724,17 |
1 452 969,21 |
194 754,96 |
0,00 |
|
Item Rent |
32 698,41 |
26 138,87 |
6 559,54 |
0,00 |
|
Item Acquisition of immovable property |
54 261 847,41 |
54 258 347,41 |
3 500,00 |
0,00 |
|
Item Fitting-out of premises |
196 549,44 |
196 548,44 |
1,00 |
0,00 |
|
Item Studies and technical assistance in connection with building projects |
37 023,95 |
31 843,52 |
5 180,43 |
0,00 |
|
Article Buildings |
54 528 119,21 |
54 512 878,24 |
15 240,97 |
0,00 |
|
Item Cleaning and maintenance |
191 333,35 |
178 589,05 |
12 744,30 |
0,00 |
|
Item Energy consumption |
246 714,94 |
144 123,41 |
102 591,53 |
0,00 |
|
Item Security and surveillance of buildings |
124 965,36 |
116 494,64 |
8 470,72 |
0,00 |
|
Item Insurance |
5 120,65 |
4 536,27 |
584,38 |
0,00 |
|
Item Other expenditure on buildings |
14 966,24 |
8 094,62 |
6 871,62 |
0,00 |
|
Article Expenditure on buildings |
583 100,54 |
451 837,99 |
131 262,55 |
0,00 |
|
CHAPTER BUILDINGS AND ASSOCIATED COSTS |
55 111 219,75 |
54 964 716,23 |
146 503,52 |
0,00 |
|
Item Purchase, work on and maintenance of equipment and software |
766 688,24 |
766 520,07 |
168,17 |
0,00 |
|
Item External services for the operation, implementation and maintenance of software and systems |
1 719 417,57 |
1 709 900,68 |
9 516,89 |
0,00 |
|
Item Telecommunications |
169 428,91 |
169 404,11 |
24,80 |
0,00 |
|
Article Equipment, operating costs and services relating to data processing and telecommunictaions |
2 655 534,72 |
2 645 824,86 |
9 709,86 |
0,00 |
|
Item Furniture |
73 227,59 |
73 227,59 |
0,00 |
0,00 |
|
Article Furniture |
73 227,59 |
73 227,59 |
0,00 |
0,00 |
|
Item Technical equipment and installations |
46 383,80 |
37 960,40 |
8 423,40 |
0,00 |
|
Article Technical equipment and installations |
46 383,80 |
37 960,40 |
8 423,40 |
0,00 |
|
Item Vehicles |
10 514,33 |
5 083,18 |
5 431,15 |
0,00 |
|
Article Vehicles |
10 514,33 |
5 083,18 |
5 431,15 |
0,00 |
|
CHAPTER DATA PROCESSING, EQUIPMENT AND MOVABLE PROPERTY: PURCHASE, HIRE AND MAINTENANCE |
2 785 660,44 |
2 762 096,03 |
23 564,41 |
0,00 |
|
Item Stationery, office supplies and miscellaneous consumables |
70 435,66 |
45 614,48 |
24 821,18 |
0,00 |
|
Article Stationery, office supplies and miscellaneous consumables |
70 435,66 |
45 614,48 |
24 821,18 |
0,00 |
|
Item Financial charges |
0,00 |
0,00 |
0,00 |
0,00 |
|
Article Financial charges |
0,00 |
0,00 |
0,00 |
0,00 |
|
Item Legal expenses |
406,92 |
280,70 |
126,22 |
0,00 |
|
Article Legal expenses and damages |
406,92 |
280,70 |
126,22 |
0,00 |
|
Item Postage and delivery charges |
15 681,22 |
13 677,34 |
2 003,88 |
0,00 |
|
Article Postage and delivery charges |
15 681,22 |
13 677,34 |
2 003,88 |
0,00 |
|
Item Other administrative expenditure |
28 280,58 |
20 919,09 |
7 361,49 |
0,00 |
|
Article Other administrative expenditure |
28 280,58 |
20 919,09 |
7 361,49 |
0,00 |
|
CHAPTER CURRENT ADMINISTRATIVE EXPENDITURE |
114 804,38 |
80 491,61 |
34 312,77 |
0,00 |
|
Item Entertainment and representation expenses |
100 956,64 |
81 633,50 |
19 323,14 |
0,00 |
|
Article Entertainment and representation expenses |
100 956,64 |
81 633,50 |
19 323,14 |
0,00 |
|
Item Meetings, congresses and conferences |
18 075,34 |
13 453,88 |
4 621,46 |
0,00 |
|
Article Meetings, congresses and conferences |
18 075,34 |
13 453,88 |
4 621,46 |
0,00 |
|
Item Expenditure on the dissemination of information and on participation in public events |
1 184,95 |
685,75 |
499,20 |
0,00 |
|
Article Expenditure on the dissemination of information and on participation in public events |
1 184,95 |
685,75 |
499,20 |
0,00 |
|
Item Joint interpreting and Conference Service |
94 973,25 |
86 542,17 |
8 431,08 |
0,00 |
|
Article Joint interpreting and Conference Service |
94 973,25 |
86 542,17 |
8 431,08 |
0,00 |
|
CHAPTER MEETINGS AND CONFERENCES |
215 190,18 |
182 315,30 |
32 874,88 |
0,00 |
|
Item Limited consultations, studies and surveys |
288 547,56 |
261 432,10 |
27 115,46 |
0,00 |
|
Article Limited consultations, studies and surveys |
288 547,56 |
261 432,10 |
27 115,46 |
0,00 |
|
Item Documentation, library and archiving expenditure |
20 089,19 |
14 901,53 |
5 187,66 |
0,00 |
|
Article Documentation, library and archiving expenditure |
20 089,19 |
14 901,53 |
5 187,66 |
0,00 |
|
Item Official Journal |
735 995,19 |
396 608,63 |
339 386,56 |
0,00 |
|
Item Publications of a general nature |
278 358,25 |
253 053,67 |
25 304,58 |
0,00 |
|
Article Production and distribution |
1 014 353,44 |
649 662,30 |
364 691,14 |
0,00 |
|
CHAPTER INFORMATION: ACQUISITION, ARCHIVING, PRODUCTION AND DISTRIBUTION |
1 322 990,19 |
925 995,93 |
396 994,26 |
0,00 |
|
TOTAL TITLE 2 — BUILDINGS, MOVABLE PROPERTY, EQUIPMENT AND MISCELLANEOUS OPERATING EXPENDITURE |
59 549 864,94 |
58 915 615,10 |
634 249,84 |
0,00 |
|
TOTAL |
61 197 589,11 |
60 368 584,31 |
829 004,80 |
0,00 |