Kujdes: Kjo faqe s’është përkthyer ende. Ajo që po shihni më poshtë, është faqja në versionin origjinal. Ju lutemi, përdorni këtë faqe që të shihni se si mund të ndihmoni te përkthimet dhe anë të tjera.

Cash flow

Income and Expenses 2021

IncomeEUR
Supporter contributions1 and membership fees 204,563.33
One-time donations1265,952.19
Sponsoring71,817.83
Paid services52,513.60
Merchandise23,552.15
Interest36.82
Total income618,435.92
ExpensesEUR
Basic infrastructure costs2146,460.17
Public awareness166,548.26
Policy advocacy65,684.03
Legal support52,502.51
Paid services41,994.61
Merchandise11,079.86
Taxes on profit of economic activities15,395.05
Total expenses499,664.49
Surplus118,771.43

Footnotes

  1. A list of all FSFE donors that did not wish anonymity is available on the ThankGNUs list.
  2. Includes personnel and office costs for management and administration, technical infrastructure, fees from tax consultant and lawyer, and bank fees.