The general account of 2013, passed in August full, closed with a profit of 1.23 million euros in current and 6.15 million in adjusted operating result.
One notable feature of this account is that it has achieved a positive cash surplus of 1.92 billion euros.
Rigorous financial management has also resulted in the improvement of immediate liquidity ratios, solvency and average payment period to suppliers.
Also, you ran the 98.22% of the budget, including
1.2 million from previous years and all invoices submitted in the year approved.
These good data have enabled an increase in budgetary allocations for social development, education, employment, study aids and transportation, and charities.
It has also significantly increased the appropriations for these concepts.
Thus, in social services, aid for food and pharmaceutical products have exceeded 31,500 euros and other direct aid to needy people stood at 8.869 euros by 2013.
In education, after covering the demand of aid offered, total spending between current expenses and grants has increased from 375,000 in 2012 to 440,000 euros euros in 2013, ie an overall increase of 65,000 euros.
In promotion of employment, 17,276 euros were executed in 2013, and 100,000 euros aid associations, which 20,000 euros to charities through the initiative "solidarity Cart" add.
In addition, in 2013 we have been able to invest its own funds, targeting 680,000 euros to improvements in roads, sports and civil protection.
Source: Ayuntamiento de San Pedro del Pinatar