Hírközlési Múzeumi Alapítvány, Évkönyv, 2005
Rövid tartalmi összefoglaló angol nyelven
No. Name of item Previous year (HUF 1000) Current year (HUF 1000) a b c e 6. d) from social insurance service 0 0 7. e) Other, of this 1% of income tax: 921 1 345 5 402 8. 2. Supports won through competitive bids 18 267 12 774 9. 3. Revenue from public service activity 1 997 2 957 10. 4. Inflow from membership dues 0 0 11. 5. Other inflow 446 1 050 12. B. Inflow from business activity 0 0 13. C. Total revenue 246 829 256 148 14. D. Expenditure for public service activity 231 011 254 106 15. 1. Material-type expenditure 70 640 83 518 16. 2. Personnel-type expenditure 141 707 152 827 17. 3. Amortization 13 964 12 903 18. 4. Other expenditure 4 698 4 836 19. 5. Expenditure for financial transactions 2 22 20. 6. Unplanned expenditure 0 0 21. E. Expenditure on business activity 0 0 22. 1. Material-type expenditure 0 0 23. 2. Personnel-type expenditure 0 0 24. 3. Amortization 0 0 25. 4. Other expenditure 0 0 26. 5. Expenditure of financial transactions 0 0 27. 6. Unplanned expenditure 0 0 28. F. Total expenditure 231 Oil 254 106 29. G. Pre-tax profit 0 0 30. H. Taxes 0 0 31. I. Business profit for current year 0 0 32. J. Inflow from public service activity for current year 15 808 2 042 Informative data (in HUF 1000) 33. A. Expenditure for personnel 152 827 34. 1. Wage costs 97 653 35. Of this: - one-of-a-kind fees 2 143 36.- honoraria 0 37. 2. Other personnel-type payments 16 738 38. 3. Contributions/taxes on wages 36 293 39. B. Supports provided by organization 0 40. C. Supports received to transfer elsewhere 0 41. D. Supports transferred elsewhere 0 245