II - PRESENTATION
GENERALE DU BUDGET |
II |
|
BALANCE GENERALE DU BUDGET |
B1 |
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1 - DEPENSES (du présent budget + Restes à réaliser) |
|
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FONCTIONNEMENT |
|
|
Opérations réelles (1)[1] |
Opérations d'ordre (2)[2] |
TOTAL |
|
011 |
Charges à caractère
général |
|
122 600,00[3] |
|
122 600,00 |
|
012 |
Charges
de personnel et frais assimilés |
60 000,00[4] |
|
60 000,00 |
|
014 |
Atténuations de produits |
|
[5] |
|
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|
60 |
Achats
et variations de stocks (3) |
|
[6] |
|
|
65 |
Autres
charges de gestion courante |
60 000,00[7] |
[8] |
60 000,00 |
|
656 |
Frais
de fonctionnement des groupes d'élus (4) |
[9] |
|
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|
66 |
Charges financières |
|
[10] |
[11] |
|
|
67 |
Charges exceptionnelles |
|
[12] |
[13] |
|
|
68 |
Dotation
aux amortissements et provisions |
[14] |
1 250 000,00[15] |
1 250 000,00 |
|
71 |
Production
stockée (ou déstockage) (3) |
|
[16] |
|
|
022 |
Dépenses imprévues |
|
10 891,15[17] |
|
10 891,15 |
|
023 |
Virement
à la section d'investissement |
|
[18] |
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Dépenses de
fonctionnement - Total |
253 491,15 |
1 250 000,00 |
1 503 491,15 |
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+ |
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D 002 RESULTAT REPORTE OU ANTICIPE |
[19] |
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= |
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TOTAL DES DEPENSES DE FONCTIONNEMENT CUMULEES |
1 503 491,15 |
|
[20] |
|
[21] |
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INVESTISSEMENT |
|
|
Opérations réelles (1)[22] |
Opérations d'ordre (2)[23] |
TOTAL |
|
10 |
Dotations,
fonds divers et réserves |
[24] |
[25] |
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13 |
Subventions
d'investissement |
|
[26] |
[27] |
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15 |
Provisions
pour risques et charges (5) |
|
[28] |
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16 |
Remboursement
d'emprunt (sauf 1688 non budgétaire) |
[29] |
[30] |
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18 |
Compte
de liaison : affectation (8) |
[31] |
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[32] |
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Total
des opérations d'équipement |
[33] |
[34] |
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[35] |
[36] |
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20 |
Immobilisations
incorporelles (sauf 204) (6) |
6 000,00[37] |
[38] |
6 000,00 |
|
204 |
Subventions
d'équipements versées |
1 050 000,00[39] |
[40] |
1 050 000,00 |
|
21 |
Immobilisations
corporelles (6) |
|
19 000,00[41] |
[42] |
19 000,00 |
|
22 |
Immobilisations
reçues en affectation (6) (9) |
[43] |
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23 |
Immobilisations en cours
(6) |
|
[44] |
[45] |
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26 |
Participations
et créances rattachées à des participations |
[46] |
[47] |
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27 |
Autres
immobilisations financières |
[48] |
[49] |
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28 |
Amortissements
des immobilisations (reprises) |
|
[50] |
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29 |
Provisions
pour dépréciation des immobilisations (5) |
|
[51] |
|
|
39 |
Provisions
pour dépréciation des stocks et en-cours (5) |
|
[52] |
|
|
45X-1 |
Total
des opérations pour compte de tiers (7) |
[53] |
[54] |
|
|
481 |
Charges
à répartir sur plusieurs exercices |
|
[55] |
|
|
49 |
Provisions
pour dépréciation des comptes de tiers (5) |
|
[56] |
|
|
59 |
Provisions
pour dépréciation des comptes financiers (5) |
|
[57] |
|
|
010 |
Stocks |
|
|
[58] |
[59] |
|
|
020 |
Dépenses imprévues |
|
15 204,40[60] |
|
15 204,40 |
|
|
Dépenses
d'investissement - Total |
|
1 090 204,40 |
|
1 090 204,40 |
|
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+ |
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|
D 001 SOLDE D'EXECUTION NEGATIF REPORTE OU ANTICIPE |
[61] |
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= |
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TOTAL DES DEPENSES D'INVESTISSEMENT CUMULEES |
1 090 204,40 |
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