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