IIW Annual Report 2021
IIW ACCOUNTS 2O2O
Δ (%)
ITEM
REALIZED 31/12/2019
2020
REALIZED
BUDGET 31/12/2020
REALISED VS BUDGET
The amounts are in Euros
INCOME Membership fees
467.730 109.109
475.506 111.181
475.506
0%
Fees from IIW events (A.A.+ Congress) ISO Standards (formerly other incomes)
66.665
-40% 11% 29%
1.542
7.500
8.332
Welding in the World
50.261
60.000
77.598
Other incomes
6.500
Interest from bank accounts
1.164
1.500
0
-100%
TOTAL
629.807
655.687
634.602
-3%
EXPENDITURE Secretariat
500.434
480.000
480.000
0%
Travelling expenses
21.053
50.000
4.936 7.785 2.156 2.825 1.026 6.680 1.547 8.450 1.230 0
-90%
Direct costs for meetings and prizes
2.733
2.000 1.000 1.500
289% 116% -100%
Office supplies and computer maintenance
263
Postage and telephone
55
Promotion, communication
11.545 14.893 23.503
37.000 10.000 42.000
-92% -90% -84% -23%
Software (hosting and maintenance)
Audit fees and legal fees
Bank charges
1.852 4.321 2.707 1.000
2.000 4.272 3.000
Straight-line method of depreciation
98%
Insurance
-59%
Registry Tax (formerly business tax)
22.000
77
-100%
Other charges
2
- -
215
- -
Extraordinary costs: transfer IIW to Italy
61.929
10.480
TOTAL
646.290
654.772
527.407
-19%
OPERATING RESULT
-16.484
915
107.195
11613%
BAD DEBTS INVENTORY
0
Bad debts recovered
0
1.381
Provision for doubful account (membership fees)
-41.380
-8.698
Provision for doubful account (other)
-35.000 -30.281 -72.598
Irrecoverable debt
-9.807
TOTAL
-51.187
NET RESULT BEFORE TAX
-67.671
34.597 -20.943 13.654
Income tax
0
RESULT AFTER TAX
-67.671
TREASURE’S REPORT 9
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