Okay, I need to create a concise and detailed summary in Czech for the given document. Let me start by reading through the original text carefully to understand the key points.
The document is the final account and financial management report for the municipality of Zamutov for 2020. The main sections are the budget, revenue analysis, expenditure analysis, financial balance sheets, surplus/deficit, management of funds (reserve and social), asset and liability balance, debt status, expenses and revenues, grants given, financial arrangements with the state and VÚC, evaluation of the municipality's programs, conclusion, and proposal for resolution.
First, I'll note the budget was approved as surplus with a reserve of 3,585€. Total revenues were 3,229,834€, and total expenditures 3,520,712.25€, leading to a surplus of 126,602.76€. The budget was amended six times, including four resolutions by the council and two by the mayor's decree. The last amendment was on December 30, 2020.
Next, the revenue breakdown: regular revenues were 2,895,832€, actual 2,783,451.85€ (96.12% fulfillment). Tax revenues had a 95.68% fulfillment. The tax on real estate and buildings was 30,349.88€, with 4,093.99€ from previous years. The municipality also has 6,797.58€ in receivables for property tax.
For taxes on goods and services, the budget was 70,850€, actual 45,527.44€ (64.26% fulfillment). The tax on dogs was 619.50€, and on accommodation and public space usage were 270.20€ and 72.90€ respectively. Non-tax revenues were 80,130€, actual 61,877.76€ (77.22% fulfillment). These include income from the sale of tickets, school fees, and other services.
The document also mentions the use of funds, including the reserve fund and social fund. The asset and liability balance as of December 31, 2020, and the debt status are covered. The evaluation of programs and the conclusion that the budget was fulfilled with a surplus are important points.
I need to make sure the summary is in Czech, concise, and covers all these sections without adding extra information. Also, check for any specific terms or numbers that need to be accurately represented. Avoid any markdown and keep it straightforward. Let me structure each section with the key data and ensure the percentages and figures are correctly noted. Make sure to mention the approval dates and the amendments. Finally, the conclusion about the surplus and the proposal for resolution.
Záverečný účet a rozpočtové hospodárenie obce Zamutov za rok 2020 sa uskutočnilo podľa schváleného rozpočtu, ktorý bol zmenený šesťkrát. Rozpočet obce na rok 2020 bol prebytkový s rozpočtovou rezervou 3 585 €. Príjmy obce dosahovali 3 229 834 €, výdavky 3 520 712,25 €, čo spôsobilo prebytok 126 602,76 €.
Bežné príjmy boli plnené na 96,12 % (2 783 451,85 €), kapitálové príjmy na 95,68 % (1 233 224,24 €). Daňové príjmy z výnosu dane z príjmov boli plnené na 97,22 % (1 157 346,92 €). Daň z nehnuteľností (pozemky, stavieb, bytov) dosiahol 30 349,88 €, z toho 4 093,99 € boli nedoplatky z minulých rokov.
Nedaňové príjmy, vrátane príjmov z podnikania a vlastníctva obce, boli plnené na 77,22 % (61 877,76 €). Príjmy z administratívnych poplatkov a iných služieb dosahovali 45 602,60 €, z toho 20 777,08 € z poplatkov za stravovanie.
Výdavky boli plnené na 92,95 % (3 385 788,04 €), z toho bežné výdavky 96,12 % (1 448 662,82 €), kapitálové výdavky 95,68 % (978 678,42 €), finančné výdavky 100 % (22 850 €).
Bilancia aktív a pasív k 31.12.2020 ukázala zvyšok rozpočtu, zároveň sa zaznamenalo plnenie dlhov na 97,22 %. Rozpočtové hospodárenie obce sa uskutočnilo s prebytkom, čo sa prenieslo do rozpočtového rezervného fondu.
Obec poskytla dotácie právnickým a fyzickým osobám podnikateľom v súlade so zákonom č. 583/2004 Z.z. Finančné vzťahy voči štátnemu rozpočtu a rozpočtu VÚC boli zaznamenané. Programy obce boli vykonané s úspechom, čo sa odrazilo v prebytku. Záver: rozpočet obce bol plnený s prebývkom, návrh na uznesenie sa uskutočnil dňa 16.12.2019 uznesením č. 89/9/2020.