22 members voted for the budget, and five of them voted against.
Budget consists of a revenue (637.245.600 BAM), then capital receipts (7.652.000 BAM), account financing (31.118.100 BAM) and the surplus of carried over unspent funds from direct borrowing in previous years (284.300 BAM).
By the proposal of the Budget of Canton Sarajevo for 2015, account of expenditures, capital expenditures and expenditures from financing accounts amounts to 737.300.000 BAM, and are for 7.36% lower compared to the Budget of Canton Sarajevo for 2014.
Uncovered accumulated deficit from previous years in the amount of 61.000.000 BAM will be covered by planned surplus in the next two years.
Current expenditures, by the proposal of the Budget of Canton Sarajevo for 2015, amounts to 322.266.400 BAM and are for 1.38% higher compared to adopted Budget of Canton Sarajevo for 2014.
In this amount, the largest share have salaries and allowances for employees in the amount of 248.686.700 BAM.
Among other things, the planned level of funds for gross salaries amounts to 216.271.600 BAM for 11.069 employees, allowances for employees in the amount of 32.415.100 BAM, and travel expenses 635.700 BAM.
In the Budget proposal, debt repayments in the amount of 27.170.200 BAM are planned.