StichtingPVFinVerantwUDHAYA2019-2020201119

 

            JAARREKENING STICHTING UDHAYA 2019/201920         (83 rupees = € 1)

Balans per 31 maart 2020                                                                 x € 1                x rupees

Activa                                   

Vaste activa                                                                                      42.389             3,518,256.35

Vooruitbetalingen / gasdepot                                                                109                    9,020.00

Kas                                                                                                            57                   4,745.00

Bank                                                                                                     4.996               414,716.98

Totaal                                                                                                47.551             3,946,738.33

 

Passiva

 

Kapitaal 1 april 2019                                                                        36.831             3.056,980.33

Winst boekjaar 2019/2020                                                                10.720                889,758.00

Totaal                                                                                               47.551             3,946,738,33

 

 

Overzicht van baten en lasten 1 april 2019 tot en met 31 maart 2020

 

Overmakingen Stichting Paul Vincent                                             51.000             3,901,083.44

Koersverschillen                                                                               – 4.081

Donaties derden                                                                                     700                  51,267.02

Opbrengst verkoop melk (eigen koe) en kippen                                   479                  39,750.00

Totaal ontvangsten                                                                           48.098              3,992,100.46

 

Kosten:

Voeding                                                                                            12.992             1,078,358,00 

Studiekosten                                                                                       4.109                341,063.00

Afschrijvingen                                                                                    4.442                368,667.96

Overige kosten (lonen, energie, algemene kosten)                          15.835             1,314,253.50

Totaal kosten                                                                                     37.378             3,102,342.46

 

Batig saldo 2019/2020                                                                      10.720                889,758.00

 

Liquiditeitsoverzicht

Batig saldo boekjaar 2019/2020                                                       10.720                889,758.00

Bij: afschrijvingen                                                                              4.442                368,667.96

Af: investeringen                                                                              10.226                848,750.00           

Verbetering liquiditeit                                                                        4.936                409,675.96

 

Liquide middelen per 1 april 2019                                                        117                    9,786.02

Liquide middelen per 31 maart 2020                                                  5.053                419,461.98

Verbetering liquiditeit                                                                        4.936                409,675.96

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