Page 32 - SKR-annual-report-2022-EN
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32 FINANCES                                                         2021–2022       2020–2021

    Income statement                                                      39 455           42 105
                                                                           -1 546           -1 839
              (1 000 EUR)                                                   5 473
                                                                                             3 231
              ORDINARY OPERATIONS                                             -157            -168
                                                                             1 239             897
              General purpose grants                                        5 995            1 583
               Cancelled general purpose grants                             2 895           2 850
               Special grants                                            -53 354         -48 659
               Cancelled special grants
              Grant expenses                                                6 772              374
              Cultural programmes                                          10 783           9 539
              General expenses                                                               -463
                                                                             -297        -39 209
                  Deficit from ordinary operations                      -36 096
                                                                                         127 280
              FUNDRAISING                                                 83 688           -3 473
                                                                          -3 054            11 541
              Donations for distribution                                  -12 621
              Capital donations                                           68 013         135 348
              Expenses                                                     31 917          96 139

                 Deficit after fundraising                                31 917          96 139
                                                                         -25 515        -74 898
              INVESTMENT AND FINANCING ACTIVITIES
                                                                          6 402            21 241
              Investment income
              Investment expenses
              Depreciations/revaluations

                 Investment and financing activities total
                 Surplus after investment and financial activities

              PROFIT FOR THE YEAR
              Transfer to/from capital funds

              SURPLUS/DEFICIT FOR THE FINANCIAL YEAR
   27   28   29   30   31   32   33   34   35   36   37