IIW Annual Report 2019-20
Δ (%) 2018-19
ITEM
REALIZED 31/12/2018
2019
REALISED
BUDGET 31/12/2019
INCOME Membership fees
466.136 107.520
470.798 104.145
467.730 109.109
0,3 1,5
Fees from IIW events (A.A.+ Congress)
Other incomes
7.011
8.500
1.542
-78,0
Welding in the World
50.670
55.000
50.261
-0,8
Interest from bank accounts
1.565
2.000
1.164
-25,6
TOTAL
636.363
640.443
629.807
-1,0
EXPENDITURE Secretariat
487.040
495.261
500.434
2,8
Travelling expenses
29.717
35.000
21.053
-29,2
Direct costs for meetings and prizes
2.564
2.000 1.000 1.500
2.733
6,6
Office supplies and computer maintenance
790 816
263
-66,8 -93,3 -19,6
Postage and telephone
55
Promotion, communication
14.358
35.000 10.000 30.000
11.545 14.893 23.503
IIW website (hosting & maintenance)
9.600
55,1
Audit fees and legal fees
33.067
-28,9
Bank charges
1.979 4.310 2.427
2.000 4.272 3.000 1.050
1.852 4.321 2.707 1.000
-6,4
Straight-line method of depreciation
0,3
Insurance
11,5
Business Tax
12.320
-91,9 -99,6
Other charges
474
2
Extraordinary costs: transfer Secretariat to Italy
-
61.929
-
TOTAL
599.462
620.083
646.290
7,8
OPERATING RESULT
36.901
20.360
-16.484
-144,7
BAD DEBTS INVENTORY Bad debts recovered Provision for doubful account
42.800
-100,0
-27.575 -51.846 -36.621
-41.380
50,1
Irrecoverable debt
-9.807
-81,1
TOTAL
-51.187
39,8
NET RESULT BEFORE TAX
280
-67.671
Tax result RESULT AFTER TAX
280
-67.671
ANNUAL REPORT 2019-2020 - IIW
7
Made with FlippingBook - Online catalogs