Kriteriji Sortiranja Uzlaz. Silaz. Podzbroj Datum Dok. Plaćanja

Total Page:16

File Type:pdf, Size:1020Kb

Kriteriji Sortiranja Uzlaz. Silaz. Podzbroj Datum Dok. Plaćanja Kriteriji sortiranja Uzlaz. Silaz. Podzbroj Datum dok. plaćanja X X Kriteriji filtera od do Opcija Datum dok. plaćanja 04.06.2018 10.06.2018 Statistika podataka Broj Prosl. slogovi 2.832 Filtrirano 2.669 Slogovi izračunatih ukupnih iznosa 6 Broj dok. St. St.izd/pr Kor.pror. Naziv dobavljača Zatvaranje Plaćeno Konto GK Naziv konta GK Izv.sreds. 40078188 2 41910000000 415013241 HIPOTEKARNA BANKA 04.06.2018 205,33 4191001100 Ugovori o djelu-neto BUDGET 40078211 2 41910000000 415013241 CRNOGORSKA KOMERCIJALNA BANKA 04.06.2018 162,00 4191001100 Ugovori o djelu-neto BUDGET 40078227 2 41910000000 415013241 SOCIETE GENERALE MONTENEGRO 04.06.2018 132,00 4191001100 Ugovori o djelu-neto BUDGET 40078240 2 41910000000 415013241 HIPOTEKARNA BANKA 04.06.2018 252,00 4191001100 Ugovori o djelu-neto BUDGET 40078300 2 41910000000 415013241 HIPOTEKARNA BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078349 2 41910000000 415013241 CRNOGORSKA KOMERCIJALNA BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078361 2 41910000000 415013241 CRNOGORSKA KOMERCIJALNA BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078376 2 41910000000 415013241 CRNOGORSKA KOMERCIJALNA BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078382 2 41910000000 415013241 CRNOGORSKA KOMERCIJALNA BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078392 2 41910000000 415013241 CRNOGORSKA KOMERCIJALNA BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078398 2 41270000000 415013051 CRNOGORSKA KOMERCIJALNA BANKA 04.06.2018 296,84 4127001000 Ostale naknade BUDGET 40078256 2 41910000000 415013241 NLB MONTENEGRO BANKA 04.06.2018 261,00 4191001100 Ugovori o djelu-neto BUDGET 40078256 3 41910000000 415013241 NLB MONTENEGRO BANKA 04.06.2018 179,00 4191001100 Ugovori o djelu-neto BUDGET 40078337 2 41910000000 415013241 CRNOGORSKA KOMERCIJALNA BANKA 04.06.2018 650,00 4191001100 Ugovori o djelu-neto BUDGET 40078412 2 41910000000 415013241 HIPOTEKARNA BANKA 04.06.2018 540,00 4191001100 Ugovori o djelu-neto BUDGET 40078418 2 41910000000 415013241 HIPOTEKARNA BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078420 2 41270000000 415011602 SOCIETE GENERALE MONTENEGRO 04.06.2018 990,00 4127001000 Ostale naknade BUDGET 40078427 2 41270000000 415013051 CRNOGORSKA KOMERCIJALNA BANKA 04.06.2018 990,00 4127001000 Ostale naknade BUDGET 40078432 2 41910000000 415013241 HIPOTEKARNA BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078439 2 41910000000 415013241 NLB MONTENEGRO BANKA 04.06.2018 380,00 4191001100 Ugovori o djelu-neto BUDGET 40078444 2 41490000000 415011602 PORTA APERTA DOO PODGORICA 04.06.2018 183,71 4149001000 Usluge prevodjenja stampanja i umnozavanja BUDGET 40078447 2 41490000000 415011602 PORTA APERTA DOO PODGORICA 04.06.2018 94,50 4149001000 Usluge prevodjenja stampanja i umnozavanja BUDGET 40078449 2 41910000000 415013241 NLB MONTENEGRO BANKA 04.06.2018 540,00 4191001100 Ugovori o djelu-neto BUDGET 40078455 2 41490000000 415011602 PORTA APERTA DOO PODGORICA 04.06.2018 134,92 4149001000 Usluge prevodjenja stampanja i umnozavanja BUDGET 40078456 2 41910000000 415013241 NLB MONTENEGRO BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078462 2 41490000000 415011602 PORTA APERTA DOO PODGORICA 04.06.2018 133,94 4149001000 Usluge prevodjenja stampanja i umnozavanja BUDGET 40078468 2 41910000000 415013241 NLB MONTENEGRO BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078469 2 41490000000 415011602 PORTA APERTA DOO PODGORICA 04.06.2018 539,70 4149001000 Usluge prevodjenja stampanja i umnozavanja BUDGET 40078478 2 41490000000 415013051 PORTA APERTA DOO PODGORICA 04.06.2018 736,70 4149001000 Usluge prevodjenja stampanja i umnozavanja BUDGET 40078479 2 41910000000 415013241 NLB MONTENEGRO BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078482 2 41490000000 415013051 PORTA APERTA DOO PODGORICA 04.06.2018 26,78 4149001000 Usluge prevodjenja stampanja i umnozavanja BUDGET 40078485 2 41910000000 415013241 NLB MONTENEGRO BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078486 2 41490000000 415013051 PORTA APERTA DOO PODGORICA 04.06.2018 22,48 4149001000 Usluge prevodjenja stampanja i umnozavanja BUDGET 40078491 2 41490000000 415013051 PORTA APERTA DOO PODGORICA 04.06.2018 112,43 4149001000 Usluge prevodjenja stampanja i umnozavanja BUDGET 40078497 2 41910000000 415013241 NLB MONTENEGRO BANKA 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078498 2 41490000000 415011204 PORTA APERTA DOO PODGORICA 04.06.2018 40,18 4149001000 Usluge prevodjenja stampanja i umnozavanja BUDGET 40078503 2 41490000000 415011204 PORTA APERTA DOO PODGORICA 04.06.2018 37,47 4149001000 Usluge prevodjenja stampanja i umnozavanja BUDGET 40078510 2 41490000000 415011204 FLEKA CETINJE 04.06.2018 5.789,60 4149001000 Usluge prevodjenja stampanja i umnozavanja BUDGET 40078512 2 41910000000 415013241 ADDIKO BANK (HYPO ALPE ADRIA) 04.06.2018 440,00 4191001100 Ugovori o djelu-neto BUDGET 40078190 2 41910000000 415013241 HIPOTEKARNA BANKA 04.06.2018 132,00 4191001100 Ugovori o djelu-neto BUDGET 40078664 2 41410000000 415011204 CRNOGORSKA KOMERCIJALNA BANKA 04.06.2018 200,00 4141002300 Smjestaj na sluzbenom putovanju u inostranstvu BUDGET 40078672 2 41410000000 415011204 CRNOGORSKA KOMERCIJALNA BANKA 04.06.2018 20,00 4141002900 Ostali troskovi za sluzbena putovanja u inostr# BUDGET 40081965 2 41530000000 415013241 EFEL TRAVEL DOO 04.06.2018 244,99 4153003000 Tekuće odrz opreme-Usluge odrzavanja vozila BUDGET 40081974 2 41530000000 415013241 EFEL TRAVEL DOO 04.06.2018 1.162,52 4153003000 Tekuće odrz opreme-Usluge odrzavanja vozila BUDGET 40081956 2 41530000000 415013241 EFEL TRAVEL DOO 04.06.2018 355,53 4153003000 Tekuće odrz opreme-Usluge odrzavanja vozila BUDGET 40081970 2 41530000000 415013241 EFEL TRAVEL DOO 04.06.2018 230,65 4153003000 Tekuće odrz opreme-Usluge odrzavanja vozila BUDGET 40081980 2 41470000000 415013051 NLB MONTENEGRO BANKA 04.06.2018 265,06 4147001000 Konsultantske usluge BUDGET * 04.06.2018 22.201,33 51000011# 2 44120000000 41501826 TOFI D.O.O. 05.06.2018 9.500,00 4412009000 Ostalo BUDGET 51000011# 3 44120000000 41501826 TOFI D.O.O. 05.06.2018 164250,38 4412009000 Ostalo BUDGET 51000011# 2 44120000000 41501810 TOFI D.O.O. 05.06.2018 16.604,86 4412005000 Ulice i parkovi BUDGET 51000011# 3 44120000000 41501810 TOFI D.O.O. 05.06.2018 30.430,26 4412005000 Ulice i parkovi BUDGET 51000011# 2 41470000000 41501810 ASFALT BETON GRADNJA 05.06.2018 802,92 4147001000 Konsultantske usluge BUDGET * 05.06.2018 221588,42 Broj dok. St. St.izd/pr Kor.pror. Naziv dobavljača Zatvaranje Plaćeno Konto GK Naziv konta GK Izv.sreds. 40073421 2 41330000000 415011921 S PRESS PLUS DOO 06.06.2018 2,74 4133005000 Publikacije casopisi i glasila BUDGET 40073421 3 41330000000 415011921 S PRESS PLUS DOO 06.06.2018 11,26 4133005000 Publikacije casopisi i glasila BUDGET 51000010# 2 44130000000 41501821 INTERMOST PODGORICA 06.06.2018 43.702,80 4413009000 Ostalo BUDGET 51000010# 3 44130000000 41501821 INTERMOST PODGORICA 06.06.2018 28.491,44 4413009000 Ostalo BUDGET 51000011# 2 41470000000 41501806 STUDIO FAADU 06.06.2018 3.611,85 4147002000 Izrada projekata BUDGET 51000012# 2 41470000000 41501830 PRVA(NIKSICKA)BANKA 06.06.2018 2.160,00 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000012# 2 41470000000 41501830 SOCIETE GENERALE MONTENEGRO 06.06.2018 2.160,00 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000012# 2 41470000000 41501830 JEDINSTVENI RACUN POREZA I DOPRIN 06.06.2018 6.001,33 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000012# 2 41470000000 41501830 PRIREZ NA POREZ PODGORICA 06.06.2018 900,13 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000011# 2 41470000000 41501830 NLB MONTENEGRO BANKA 06.06.2018 37,28 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000011# 3 41470000000 41501830 NLB MONTENEGRO BANKA 06.06.2018 3.531,42 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000011# 4 41470000000 41501830 NLB MONTENEGRO BANKA 06.06.2018 2.671,30 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000011# 2 41470000000 41501830 KOMERCIJALNA BANKA BUDVA 06.06.2018 2.160,00 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000011# 2 41470000000 41501830 PRVA(NIKSICKA)BANKA 06.06.2018 2.160,00 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000012# 2 41470000000 41501830 CRNOGORSKA KOMERCIJALNA BANKA 06.06.2018 4.080,00 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000012# 2 41470000000 41501830 CRNOGORSKA KOMERCIJALNA BANKA 06.06.2018 1.200,00 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000012# 2 41470000000 41501830 CRNOGORSKA KOMERCIJALNA BANKA 06.06.2018 1.200,00 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000012# 2 41470000000 41501830 CRNOGORSKA KOMERCIJALNA BANKA 06.06.2018 1.200,00 4147002001 Projekat auto-put Bar-Boljari BUDGET 40082606 2 41530000000 415013011 PRVA(NIKSICKA) BANKA 06.06.2018 5.492,50 4153001000 Tekuće održavanje opreme BUDGET 51000011# 2 41470000000 41501830 SOCIETE GENERALE MONTENEGRO 06.06.2018 2.160,00 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000012# 2 41470000000 41501830 CRNOGORSKA KOMERCIJALNA BANKA 06.06.2018 1.200,00 4147002001 Projekat auto-put Bar-Boljari BUDGET 51000012# 2 41470000000 41501830 CRNOGORSKA KOMERCIJALNA BANKA 06.06.2018 1.200,00 4147002001 Projekat auto-put Bar-Boljari BUDGET 40081691 2 41310000000 415011921 PET ZVJEZDICA D.O.O. 06.06.2018 111,08 4131001000 Kancelarijski materijal BUDGET 51000011# 2 41470000000 41501830 SOCIETE GENERALE MONTENEGRO 06.06.2018
Recommended publications
  • Broj Dok. St. Naziv Kor.Budžeta St.Izd/Pr Kor.Pror. Razd. Glava Izv
    Broj dok. St. St.izd/pr Kor.pror. Razd. Glava Izv.sreds. Funk.podr. LIFNR Klj.ban. Dat. dosp. AUGBL Zatvaranje Val. Naziv kor.budžeta Naziv dobavljača Plaćeno 40100154 2 Min.prosvete-Predskolsk 41490000000 407011081 40 407 DONACIJA 0911 37680 OS B.JOJIC ANDRIJEVICA 505 04.07.2016 10107648 15.07.2016 EUR 300,00 40100155 2 Min.prosvete-Predskolsk 41490000000 407011081 40 407 DONACIJA 0911 37629 DJ.VRTIC BERANE 535 04.07.2016 10107646 15.07.2016 EUR 300,00 40100156 2 Min.prosvete-Predskolsk 41490000000 407011081 40 407 DONACIJA 0911 37627 DJ.VRTIC BIJELO POLJE 550 04.07.2016 10107642 15.07.2016 EUR 300,00 40100158 2 Min.prosvete-Predskolsk 41490000000 407011081 40 407 DONACIJA 0911 37624 DJ.VRTIC DANILOVGRAD 550 04.07.2016 10107639 15.07.2016 EUR 300,00 40100159 2 Min.prosvete-Predskolsk 41490000000 407011081 40 407 DONACIJA 0911 37628 DJ.VRTIC PLAV 505 04.07.2016 10107644 15.07.2016 EUR 300,00 40100163 2 Min.prosvete-Predskolsk 41490000000 407011081 40 407 DONACIJA 0911 37733 DJ.VRTIC ROZAJE 530 04.07.2016 10107653 15.07.2016 EUR 300,00 40100166 2 Min.prosvete-Predskolsk 41490000000 407011081 40 407 DONACIJA 0911 1000 CRNOGORSKA KOMERCIJALNA BANKA 510 04.07.2016 10107724 15.07.2016 EUR 800,00 40100171 2 Min.prosvete-Predskolsk 41490000000 407011081 40 407 DONACIJA 0911 34534 KASTEX DOO 510 04.07.2016 10107637 15.07.2016 EUR 248,83 40100192 2 Min.prosvete-Predskolsk 41490000000 407011081 40 407 DONACIJA 0911 37680 OS B.JOJIC ANDRIJEVICA 505 04.07.2016 10107649 15.07.2016 EUR 200,00 40100194 2 Min.prosvete-Predskolsk 41490000000 407011081
    [Show full text]
  • Analitička Kartica Potrošačkih Jedinica
    Analitička kartica potrošačkih jedinica za period od 28.5.2018 do 3.6.2018 za period od 010001 SLUŽBA GRADONAČELNIKA 30.5.2018 Br. naloga Datum Primalac Konto Opis konta Žiro račun Naziv banke Iznos 00310 28.5.2018 T COM- mobilni telefoni 41431000000 MOBILNI TELEFONI 520-111-33 Hipotekarna banka 11,94 € 00311 28.5.2018 T COM- mobilni telefoni 41431000000 MOBILNI TELEFONI 520-111-33 Hipotekarna banka 9,89 € 00312 28.5.2018 T COM- mobilni telefoni 41431000000 MOBILNI TELEFONI 520-111-33 Hipotekarna banka 3,63 € 00313 28.5.2018 T COM- mobilni telefoni 41431000000 MOBILNI TELEFONI 520-111-33 Hipotekarna banka 3,63 € 00314 28.5.2018 T COM- mobilni telefoni 41431000000 MOBILNI TELEFONI 520-111-33 Hipotekarna banka 19,65 € 00315 28.5.2018 T COM- mobilni telefoni 41431000000 MOBILNI TELEFONI 520-111-33 Hipotekarna banka 14,67 € 00316 28.5.2018 M TEL 41431000000 MOBILNI TELEFONI 525-5457-66 Komercijalna banka Budva 72,12 € 00317 28.5.2018 M TEL 41431000000 MOBILNI TELEFONI 525-5457-66 Komercijalna banka Budva 67,03 € 00318 28.5.2018 T COM- fiksni telefoni 41430000196 226-444 - SLUŽBA 510-0000000000103-22 Crnogorska komercijalna banka 19,52 € GRADONAČELNIKA 00319 28.5.2018 T COM- fiksni telefoni 41430000204 671-101-Služba Gradonačelnika-biznis 510-0000000000103-22 Crnogorska komercijalna banka 21,82 € centar 00320 28.5.2018 T COM- fiksni telefoni 41430000008 664-333 SLUŽBA GRADONAČELNIKA 510-0000000000103-22 Crnogorska komercijalna banka 68,69 € 00321 28.5.2018 T COM- fiksni telefoni 41430000002 665-066 SLUŽBA GRADONAČELNIKA 510-0000000000103-22
    [Show full text]
  • Lovćen Banka Ad, Podgorica
    LOVĆEN BANKA AD, PODGORICA Financial Statements for the Year Ended 31 December 2017 And Independent Auditor’s Report LOVĆEN BANKA AD, PODGORICA CONTENTS Page INDEPENDENT AUDITOR’S REPORT 1-2 FINANCIAL STATEMENTS Income Statement Balance Sheet Statement of Changes in Equity Statement of Cash Flows Notes to the Financial Statements 1-52 ANNUAL BUSINESS REPORT This is an English translation of Independent Auditor’s Report and 2017 Separate Financial Statements originally issued in the Montenegrin language This is an English translation of Independent Auditor’s Report originally issued in the Montenegrin language INDEPENDENT AUDITOR’S REPORT To the Shareholders of Lovćen banka a.d. Podgorica Report on Financial Statements We have audited the accompanying financial statements of Lovćen banka a.d. Podgorica (hereinafter the “Bank”), which comprise the balance sheet as of 31 December 2017 and the income statement, statement of changes in equity and statement of cash flows for the year then ended, and a summary of significant accounting policies and other explanatory information. Management’s Responsibility for the Financial Statements Management is responsible for the preparation and fair presentation of these financial statements in accordance with the accounting regulations prevailing in Montenegro, based on the Law on Accounting (“Official Gazette of Montenegro”, no. 052/16) and the regulations of the Central Bank of Montenegro governing the financial reporting of banks, and for such internal control as management determines is necessary to enable the preparation of financial statements that are free from material misstatement, whether due to fraud or error. Auditor’s Responsibility Our responsibility is to express an opinion on these financial statements based on our audit.
    [Show full text]
  • Mfic Investment Guide
    MFIC INVESTMENT GUIDE 2016 Why invest in Montenegro? What our members are investing in? Things you should know when starting a business Moving to Montenegro INTRODUCTION It is our pleasure to introduce to you the Montenegrin Foreign In- vestors Council (MFIC) Investment Guide. The guide focuses on the most attractive investment opportunities and provides practical information use- ful when starting and expanding your business in Montenegro. Since regaining its independence in 2006, Montenegro has been increasingly attractive to foreign investors. Its development is centered around attracting FDI through a competitive business environment, striving to become the business hub of South-East Europe. It offers many reward- ing investment opportunities and impressive natural potential along with continuous improvements in the business climate intended to attract for- eign investors. The Montenegrin Government is well aware of the importance of foreign direct investment for sustainable growth of the economy, which makes sense since, so far, the recorded increase in wealth has been driven primarily by large volumes of foreign investment. Its activities have mainly consisted of reforms directed at improvement of the investment climate in Montenegro. We have seen improvements in competitiveness, transpar- ency and business-friendliness. Nevertheless, there is still work to be done and challenges to be overcome. Having become a member of the WTO in April 2012 and due to the process of negotiations for its accession to the EU, as well as having received an official invitation to become a mem- ber of NATO, one can be optimistic about further improvements in the Montenegrin trade system and the general business climate in Montenegro.
    [Show full text]
  • Broj Dokumenta Stavka Izdatka Konto GK Naziv Konta GK Naziv
    PREGLED IZVRŠENIH PLACANJA IZ DRŽAVNOG TREZORA U PERIODU 01.02 - 07.02.2021. GODINE Napomena: U skladu sa Zakonom o tajnosti podataka (Član 63), zatamnjena polja u izvještaju nije moguće objaviti Broj Datum Stavka izdatka Konto GK Naziv konta GK Naziv dobavljaca Placeno Izvor sredstava dokumenta placanja 40008673 41270000000 4127001000 Ostale naknade CRNOGORSKA KOMERCIJALNA BANKA 692,54 BUDGET 1.2.2021 40008676 41270000000 4127001000 Ostale naknade JEDINSTVENI RACUN POREZA I DOPRIN 46,56 BUDGET 1.2.2021 40008680 41270000000 4127001000 Ostale naknade PRIREZ NA UGOVOR O DJELU 6,98 BUDGET 1.2.2021 40008750 41270000000 4127001000 Ostale naknade HIPOTEKARNA BANKA 484,78 BUDGET 1.2.2021 40008759 41270000000 4127001000 Ostale naknade JEDINSTVENI RACUN POREZA I DOPRIN 32,59 BUDGET 1.2.2021 40008767 41270000000 4127001000 Ostale naknade PRIREZ NA UGOVOR O DJELU 4,89 BUDGET 1.2.2021 40008792 41270000000 4127001000 Ostale naknade CRNOGORSKA KOMERCIJALNA BANKA 484,78 BUDGET 1.2.2021 40008800 41270000000 4127001000 Ostale naknade JEDINSTVENI RACUN POREZA I DOPRIN 32,59 BUDGET 1.2.2021 40008812 41270000000 4127001000 Ostale naknade PRIREZ NA UGOVOR O DJELU 4,89 BUDGET 1.2.2021 40008856 41270000000 4127001000 Ostale naknade NLB MONTENEGRO BANKA 938,29 BUDGET 1.2.2021 40008864 41270000000 4127001000 Ostale naknade JEDINSTVENI RACUN POREZA I DOPRIN 63,08 BUDGET 1.2.2021 40008872 41270000000 4127001000 Ostale naknade PRIREZ NA UGOVOR O DJELU 9,46 BUDGET 1.2.2021 40008929 41270000000 4127001000 Ostale naknade HIPOTEKARNA BANKA 379,14 BUDGET 1.2.2021 40008938
    [Show full text]
  • Trebjesa" Nikšić
    R.br. PIB NAZIV PORESKOG OBVEZNIKA DOO Industrija piva i sokova pivara 1 02000989 "Trebjesa" Nikšić 2 02002230 AD "Elektroprivreda Crne Gore" Nikšić 3 02289377 AD " Crnogorski Telekom " Podgorica 4 02136228 AD "Societe Generale Banka" Podgorica 5 02384337 DOO "Montenegro Bonus" Cetinje 6 02007479 DOO "Pomorski saobraćaj" Herceg Novi 7 02008386 AD ''Institut Dr Simo Milošević''Igalo, Herceg Novi 8 02242974 DOO " Telenor " Podgorica DOO ''Crnogorski elektrodistributivni 9 03099873 sistem'' Podgorica AD ''Crnogorska komercijalna banka'' 10 02239108 Podgorica AD ''Crnogorski elektroprenosni sistem'' 11 02751372 Podgorica 12 02313707 DOO "Neregelia" Podgorica 13 02655284 DOO "M-tel" Podgorica 14 02077698 DOO "Stadion" Podgorica 15 02011395 AD "NLB Montenegrobanka" Podgorica 16 02375885 DOO "Uno-NK" Nikšić 1 17 02351242 AD "Erste Bank" Podgorica 18 02741792 DOO"MFI Alter modus" Podgorica 19 02462494 DOO ''Monte put'' Podgorica 20 02096099 AD "Prva banka Crne Gore" Podgorica 21 02440261 DOO "Domaća trgovina" Podgorica 22 02348772 AD "Atlas Banka" Podgorica 23 02643448 DOO ''Bemax'' Podgorica 24 02454190 AD ''Addiko bank'' Podgorica 25 02196727 DOO "Samms" Podgorica 26 02085020 AD "Hipotekarna Banka" Podgorica 27 02684462 AD "Universal capital bank" Podgorica 28 02009960 AD ''Invest banka Montenegro'' Podgorica 29 02013258 AD "Jugopetrol" Podgorica 30 02373262 AD "Komercijalna banka" Budva 31 02227312 DOO "Voli Trade" Podgorica 32 02829541 AD ''Lovćen banka'' Podgorica 33 02657457 DOO ''Carlsberg Montenegro'' Podgorica 2 34 03032531 AD "Zapad
    [Show full text]
  • R.Br. PIB NAZIV PORESKOG OBVEZNIKA 1
    R.br. PIB NAZIV PORESKOG OBVEZNIKA DOO Industrija piva i sokova pivara 1 02000989 "Trebjesa" Nikšić 2 02002230 AD "Elektroprivreda Crne Gore" Nikšić 3 02289377 AD " Crnogorski Telekom " Podgorica 4 02136228 AD "Societe Generale Banka" Podgorica 5 02384337 DOO "Montenegro Bonus" Cetinje 6 02007479 DOO "Pomorski saobraćaj" Herceg Novi 7 02008386 AD ''Institut Dr Simo Milošević''Igalo, Herceg Novi 8 02242974 DOO " Telenor " Podgorica DOO ''Crnogorski elektrodistributivni 9 03099873 sistem'' Podgorica AD ''Crnogorska komercijalna banka'' 10 02239108 Podgorica AD ''Crnogorski elektroprenosni sistem'' 11 02751372 Podgorica 12 02313707 DOO "Neregelia" Podgorica 13 02655284 DOO "M-tel" Podgorica 14 02077698 DOO "Stadion" Podgorica 1 15 02011395 AD "NLB Montenegrobanka" Podgorica 16 02375885 DOO "Uno-NK" Nikšić 17 02351242 AD "Erste Bank" Podgorica 18 02741792 DOO"MFI Alter modus" Podgorica 19 02462494 DOO ''Monte put'' Podgorica 20 02096099 AD "Prva banka Crne Gore" Podgorica 21 02440261 DOO "Domaća trgovina" Podgorica 22 02348772 AD "Atlas Banka" Podgorica 23 02643448 DOO ''Bemax'' Podgorica 24 02454190 AD ''Addiko bank'' Podgorica 25 02196727 DOO "Samms" Podgorica 26 02085020 AD "Hipotekarna Banka" Podgorica 27 02684462 AD "Universal capital bank" Podgorica 28 02009960 AD ''Invest banka Montenegro'' Podgorica 29 02013258 AD "Jugopetrol" Podgorica 2 30 02373262 AD "Komercijalna banka" Budva 31 02227312 DOO "Voli Trade" Podgorica 32 02829541 AD ''Lovćen banka'' Podgorica 33 02657457 DOO ''Carlsberg Montenegro'' Podgorica 34 02739500 DOO ''Hard
    [Show full text]
  • Analitička Kartica Potrošačkih Jedinica
    Analitička kartica potrošačkih jedinica za period od 14.9.2020 do 20.9.2020 za period od 010001 SLUŽBA ZA OSTVARIVANJE IZVRŠNE FUNKCIJE GRADONAČELNIKA 14.9.2020 Br. naloga Datum Primalac Konto Opis konta Žiro račun Naziv banke Iznos 01132 31.8.2020 MULTITASK 41490000002 protokol 520-34379-49 Hipotekarna banka 130,97 € Ukupno na dan: 14.9.2020 130,97 € 15.9.2020 Br. naloga Datum Primalac Konto Opis konta Žiro račun Naziv banke Iznos 01051 12.8.2020 FILAN COMPANY DOO 41420000000 reprezentacija 565-213-30 FIRST FINANCIAL BANK 105,30 € 01064 17.8.2020 REGARD 41490000050 ostale ugovorene usluge 550-10045-18 PODGORIČKA BANKA OTP 175,45 € GROUP 01093 26.8.2020 CLICK PRINT 41490000002 protokol 520-23003-33 Hipotekarna banka 335,78 € 01094 26.8.2020 ULIX GASTRO BAR 41490000002 protokol 540-9562-74 ERSTE BANKA 506,10 € 01095 26.8.2020 ATTREZZATURA 41490000002 protokol 520-20943-05 Hipotekarna banka 254,10 € 01096 26.8.2020 DM Kristal doo 41490000002 protokol 520-23051-83 Hipotekarna banka 304,92 € 01097 26.8.2020 RAMADA 41490000050 ostale ugovorene usluge 530-24919-43 NLB MONTENEGRO AD 542,80 € 01098 26.8.2020 SLUŽBENI LIST 41490000010 usluge prevođenja, štampanja, 550-5716-07 PODGORIČKA BANKA OTP 67,50 € umnožavanja i medijske usluge GROUP 01131 31.8.2020 LUTREX 41490000002 protokol 520-9855-95 Hipotekarna banka 326,70 € 01133 31.8.2020 NOVA POBJEDA 41490000009 usluge objavljivanja odluka, nacrta, 560-822-77 FIRST FINANCIAL BANK 181,50 € oglasa, akata Ukupno na dan: 15.9.2020 2.800,15 € Ukupno za organizaciju: 010001 2.931,12 € 020001 SLUŽBA ZA ODNOSE SA JAVNOŠĆU 15.9.2020 Br.
    [Show full text]
  • Posebni Izvještaj O Stanju Zaštite Liċnih Podataka Za Period 01.Januar
    REPORT ON THE STATE OF PERSONAL DATA PROTECTION IN MONTENEGRO IN 2011 Podgorica, March 2012 2011 Report on the state of personal data protection in Montenegro CONTENTS: INTRODUCTION 1. CONCLUSION OF THE PARLIAMENT OF MONTENEGRO ( Official Gazette of Montenegro 28/11) 2. GENERAL LEGAL FRAMEWORK 2.1. Personal data protection 2.2. Harmonisation of legislation 3. PERSONAL DATA PROTECTION AGENCY 3.1. Competences 3.2. Authorities 3.3. Internal organisation and number of employees 3.4. Agency Budget for 2011 3.5. Work Plan 4. TWINNING PROJECT 5. RECORDS OF PERSONAL DATA FILING SYSTEMS 5.1. Delivered personal data filing systems 5.2. Register 6. PUBLIC RELATIONS 6.1. Website 6.2. Facebook 6.3. Electronic and printed media 6.4. Leaflets and forms 6.5. Education 6.6. Cooperation with the NGO sector 6.7. Free access to information 7. INTERNATIONAL COOPERATION 7.1. Visit to the Commissioner of Serbia - Belgrade 7.2. Article 29 Working Party, observer role – Brussels 7.3. Visit to the Commissioner of Albania-Tirana 7.4. Visit to the Directorate for Personal Data Protection of Macedonia - Skopje 7.5. Annual Spring Conference of Data Protection Authorities- Budapest 2 2011 Report on the state of personal data protection in Montenegro 7.6. Visit of the Commissioner of Albania - Podgorica 7.7. Eurodig 2011 Conference- Belgrade 7.8. Visit to the Commissioner of Slovenia- Ljubljana 7.9. Visit to the Data Protection Commissioner of Austria- Vienna 7.10. Meeting of the working group for personal data protection in the telecommunication sector - Berlin 7.11. Visit to the German Personal Data Protection Agency-Berlin 7.12.
    [Show full text]
  • Broj Dokumenta Stavka Izdatka Konto GK Naziv Konta GK Naziv
    IZVJESTAJ O IZVRSENIM PLACANJIMA ZA PERIOD 10.03. - 16.03.2020. GODINE Broj Datum Stavka izdatka Konto GK Naziv konta GK Naziv dobavljaca Placeno Izvor sredstava dokumenta placanja 40031230 41150000000 4115001000 Opstinski prirez PRIREZ NA POREZ PODGORICA 173,37 13.3.2020 BUDGET 40044279 41310000000 4131009000 Ostali rashodi za materijal VOLI TRADE DOO 98,66 16.3.2020 BUDGET 40044501 41350000000 4135001000 Rashodi za tečna goriva PETROL CRNA GORA DOO 249,06 16.3.2020 BUDGET 40044528 41470000000 4147001000 Konsultantske usluge PRIREZ NA POREZ PODGORICA 4,04 16.3.2020 BUDGET 40044522 41910000000 4191001200 Ugovori o djelu-obaveze JEDINSTVENI RACUN POREZA I DOPRIN 16,67 16.3.2020 BUDGET 40044522 41910000000 4191001200 Ugovori o djelu-obaveze JEDINSTVENI RACUN POREZA I DOPRIN 2,41 16.3.2020 BUDGET 40044522 41470000000 4147001000 Konsultantske usluge JEDINSTVENI RACUN POREZA I DOPRIN 7,80 16.3.2020 BUDGET 40044508 41910000000 4191001100 Ugovori o djelu-neto SOCIETE GENERALE MONTENEGRO 400,00 16.3.2020 BUDGET Naziv kor.budžeta Agencija za kontrolu kval.visokog obraz. 952,01 40042576 41460000000 4146009300 Usl arbitara i miritelja CRNOGORSKA KOMERCIJALNA BANKA 20,00 11.3.2020 BUDGET 40042584 41460000000 4146009300 Usl arbitara i miritelja JEDINSTVENI RACUN POREZA I DOPRIN 1,34 11.3.2020 BUDGET 40042586 41460000000 4146009300 Usl arbitara i miritelja PRIREZ NA POREZ PODGORICA 0,20 11.3.2020 BUDGET 40042969 41340000000 4134001000 Rashodi za elektricnu energiju SAVEZ SINDIKATA 304,09 11.3.2020 BUDGET 40033396 41150000000 4115001000 Opstinski prirez
    [Show full text]
  • Godisnji Izvestaj 2009E.Pdf
    K O M E R C I J A L N A B A N K A A D B U D VA AANNNNUUAALL RREEPPOORRTT 22000099 Budva, April 2010 Komercijalna banka ad Budva Annual Report for 2009 Budva, 30 April 2010 ANNUAL REPORT FOR 2009 In accordance with the Law on Banks, the Statute, the Bank’s business policies, as well as International Accounting Standards, we hereby adopt the Annual Report on Operations for 2009, together with the Audit Report on the Financial Statements for 2009, with the expressed external auditor’s opinion and consideration of the key operating indicators for 2009. The Bank’s operations during 2009 can be characterized as very difficult and complex, operating under financial crisis conditions. The effects of the global economic crisis which is gripping the entire world economy were felt in Montenegro in the last quarter of 2008. Increased credit growth during 2007 and the first half of 2008, coupled with unparalleled growth in stock exchange operations, multiplied the effects of the financial crisis in the country. There is a marked reduction in foreign direct investments and an increase in the price of funding sources. This led to a slowdown in economic activity, low liquidity of entities and delays in settling liabilities. The psychological effects of the financial crisis resulted in increased withdrawal of deposits, particularly retail deposits. This impacted the Bank’s liquidity and operation of the banking system as a whole, impacting our Bank’s operations. The effects of the world economic crisis spilled over into 2009 to the real sector, so that the recession, whose effects are felt in the economies of many countries, is also being reflected in the macroeconomic business conditions in Montenegro.
    [Show full text]
  • Semi-Annual Report of the Group 2017-Final
    2017 SEMI-ANNUAL CONSOLIDATED REPORT OF KOMERCIJALNA BANKA GROUP 2017 Semi-Annual Report of Komercijalna banka Group C O N T E N T S 1. SEMI-ANNUAL REPORT ON GROUP’S OPERATIONS 2. CONSOLIDATED FINANCIAL STATEMENTS BALANCE SHEET – CONSOLIDATED INCOME STATEMENT – CONSOLIDATED STATEMENT OF OTHER COMPREHENSIVE INCOME –CONSOLIDATED CASH FLOW STATEMENT – CONSOLIDATED STATEMENT ON CHANGES IN EQUITY – CONSOLIDATED NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS 3. STATEMENT OF RESPONSIBLE PERSONS August 2017. 2017 Semi-Annual Report of Komercijalna banka Group 2017 SEMI-ANNUAL REPORT ON GROUP'S OPERATIONS 2 | Page 2017 Semi-Annual Report of Komercijalna banka Group C O N T E N T S 1. Key Performance Indicators of the Group 5 2. Operations and Organisational Structure of the Group 6 2.1. Organisational Chart of the Group 7 2.2. Employment at the Group 7 3. Financial Position and Performance 10 3.1. Macroeconomic Business Conditions 10 3.2. Group’s Performance 10 3.3. Consolidated Balance Sheet 12 3.4. Consolidated Income Statement 17 4. Environmental Investment 20 5. Significant Events After the End of the Financial Year 20 6. Future Development Plan 21 7. Research and Development 28 8. Redemption of Own Shares and Equity Holdings 28 9. Performance of Subsidiaries Before Consolidation 29 10. Financial Instruments Relevant for Financial Performance Assessment 30 11. Risk Management 31 12. Corporate Social Responsibility 36 3 | Page 2017 Semi-Annual Report of Komercijalna banka Group Consolidated financial statements of the banking group are presented in thousands of dinars. The dinar is the official reporting currency in the Republic of Serbia and the functional currency of the Parent Bank.
    [Show full text]