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Renovating houses for poor people
Followed by donorinfo since:
2007
37, rue de la Glacière
1060
Brussels
02/ 537 51 30
Social mission
The organization Compagnons Dépanneurs asbl has two main objectives. On the one hand, they renovate the housing of poor people. On the other hand, they encourage young people (16 years and +), to engage themselve as a volunteer in the organization.
This organisation communicates in French and in Dutch. Please consult the information in French to learn more about it.
Board of directors | Claudine Poncelet (chairman), Thibaut Cardon de Lichtbuer (vice-chairman), Miguel Beer, Jean-François de le Hoye, Henry Linard de Guertechin, Benoît Mairiaux, Jean-Louis Matton, Benoit Nyssen, Joachim Nyssen, Nicolas Poncelet, Nicolas Van Impe, Benoit Verdickt | ||
Daily management | Cécile Nyssen-Baudewyns | ||
Founded in | 1976 | ||
Number of full-time equivalent employees(FTE) | 14,5 | ||
Number of volunteers | 266 | ||
Comment about volunteers/employees/boards of directors | The board members are not remunerated | ||
Account number(s) | BE83 2100 9642 4015 - GEBABEBB - please mention 'via donorinfo.be' | ||
Fiscal certificate | Will be issued for donations reaching a total amount of 40 € during the calendar year | ||
Newsletter | ECHO 4 times/year |
Audit info : These figures result from the annual accounts which have been verified by Robert Fonsny, chartered-accountants IEC-IAB 7952 2F 55.
Costs 2018
Total = 775.611 € (100%)
Projects, activities excl. personnel costs60/61 | 103.255 € | ||
Fundraising costs excl. personnel costs60/61 | 4.423 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 14.411 € | ||
Overheads excl. personnel costs61 | 118.951 € | ||
Personnel and social security costs62 | 459.121 € | ||
Depreciations and amortizations630/634 | 61.781 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 7.767 € | ||
Financial costs65 | 853 € | ||
Exceptional costs66 | 5.050 € | ||
Others | 75.450 € | ||
Total costs 2018 | 775.611 € |
Proceeds 2018
Total = 744.866 € (100%)
Private donations and corporate patronage73 | 134.319 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 26.500 € | ||
Proceeds from services to beneficiaries70 | 134.143 € | ||
Public subsidies73 | 425.025 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 9.564 € | ||
Financial proceeds75 | 13.446 € | ||
Exceptional proceeds76 | 1.869 € | ||
Others | 24.879 € | ||
Total proceeds 2018 | 744.866 € |
Balance : -30.745 €
Assets 2018
Fixed assets20/28 | 262.857 € | |
Current assets29/58 | 301.323 € | |
Total assets 2018 | 564.180 € |
Liabilities 2018
Capital and reserves10/15 | 469.080 € | |
Creditors and provisions16/49 | 95.100 € | |
Total liabilities 2018 | 564.180 € |
The available amounts on 31/12/2018 are 206.223 €. The available amounts are
defined as the difference between the current assets and the sum of debts and provisions.
Audit info : These figures result from the annual accounts which have been verified by Robert Fonsny, chartered-accountants IEC-IAB 7952 2F 55.
Costs 2017
Total = 732.207 € (100%)
Projects, activities excl. personnel costs60/61 | 77.625 € | ||
Fundraising costs excl. personnel costs60/61 | 3.280 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 10.057 € | ||
Overheads excl. personnel costs61 | 105.895 € | ||
Personnel and social security costs62 | 464.260 € | ||
Depreciations and amortizations630/634 | 61.333 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 7.482 € | ||
Financial costs65 | 866 € | ||
Exceptional costs66 | 1.409 € | ||
Others | 71.090 € | ||
Total costs 2017 | 732.207 € |
Proceeds 2017
Total = 695.333 € (100%)
Private donations and corporate patronage73 | 139.966 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 28.803 € | ||
Proceeds from services to beneficiaries70 | 140.625 € | ||
Public subsidies73 | 356.341 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 11.275 € | ||
Financial proceeds75 | 11.783 € | ||
Exceptional proceeds76 | 6.540 € | ||
Others | 29.597 € | ||
Total proceeds 2017 | 695.333 € |
Balance : -36.874 €
Assets 2017
Fixed assets20/28 | 283.919 € | |
Current assets29/58 | 294.452 € | |
Total assets 2017 | 578.371 € |
Liabilities 2017
Capital and reserves10/15 | 504.015 € | |
Creditors and provisions16/49 | 74.356 € | |
Total liabilities 2017 | 578.371 € |
The available amounts on 31/12/2017 are 220.096 €. The available amounts are
defined as the difference between the current assets and the sum of debts and provisions.
Audit info : These figures result from the annual accounts which have been verified by Fonsny sprl-bvba, chartered-accountants IEC-IAB 7952 2F 55.
Costs 2016
Total = 738.522 € (100%)
Projects, activities excl. personnel costs60/61 | 87.591 € | ||
Fundraising costs excl. personnel costs60/61 | 3.411 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 5.434 € | ||
Overheads excl. personnel costs61 | 119.418 € | ||
Personnel and social security costs62 | 468.959 € | ||
Depreciations and amortizations630/634 | 40.631 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 6.321 € | ||
Financial costs65 | 823 € | ||
Exceptional costs66 | 5.934 € | ||
Others | 53.709 € | ||
Total costs 2016 | 738.522 € |
Proceeds 2016
Total = 721.354 € (100%)
Private donations and corporate patronage73 | 166.176 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 588 € | ||
Proceeds from activities, sponsorships or events70 | 21.373 € | ||
Proceeds from services to beneficiaries70 | 135.116 € | ||
Public subsidies73 | 378.508 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 7.507 € | ||
Financial proceeds75 | 1.371 € | ||
Exceptional proceeds76 | 10.715 € | ||
Others | 20.181 € | ||
Total proceeds 2016 | 721.354 € |
Balance : -17.168 €
Assets 2016
Fixed assets20/28 | 264.495 € | |
Current assets29/58 | 307.433 € | |
Total assets 2016 | 571.928 € |
Liabilities 2016
Capital and reserves10/15 | 499.084 € | |
Creditors and provisions16/49 | 72.844 € | |
Total liabilities 2016 | 571.928 € |
The available amounts on 31/12/2016 are 234.590 €. The available amounts are
defined as the difference between the current assets and the sum of debts and provisions.
Audit info : These figures result from the annual accounts which have been verified by Robert Fonsny, chartered-accountants IEC-IAB 7952 2F 55.
Costs 2015
Total = 679.918 € (100%)
Projects, activities excl. personnel costs60/61 | 73.735 € | ||
Fundraising costs excl. personnel costs60/61 | 5.118 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 9.587 € | ||
Overheads excl. personnel costs61 | 102.922 € | ||
Personnel and social security costs62 | 434.922 € | ||
Depreciations and amortizations630/634 | 42.530 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 6.183 € | ||
Financial costs65 | 4.586 € | ||
Exceptional costs66 | 336 € | ||
Others | 53.634 € | ||
Total costs 2015 | 679.918 € |
Proceeds 2015
Total = 624.308 € (100%)
Private donations and corporate patronage73 | 129.894 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 94 € | ||
Proceeds from activities, sponsorships or events70 | 23.382 € | ||
Proceeds from services to beneficiaries70 | 109.692 € | ||
Public subsidies73 | 343.524 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 15.148 € | ||
Financial proceeds75 | 2.574 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 17.817 € | ||
Total proceeds 2015 | 624.308 € |
Balance : -55.610 €
Assets 2015
Fixed assets20/28 | 272.051 € | |
Current assets29/58 | 337.959 € | |
Total assets 2015 | 610.009 € |
Liabilities 2015
Capital and reserves10/15 | 517.002 € | |
Creditors and provisions16/49 | 93.007 € | |
Total liabilities 2015 | 610.009 € |
The available amounts on 31/12/2015 are 244.952 €. The available amounts are
defined as the difference between the current assets and the sum of debts and provisions.
Audit info : These figures result from the annual accounts which have been verified by Fonsny sprl-bvba, chartered-accountants IEC-IAB 7952 2F 55.
Costs 2014
Total = 787.108 € (100%)
Projects, activities excl. personnel costs60/61 | 193.742 € | ||
Fundraising costs excl. personnel costs60/61 | 3.034 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 37.237 € | ||
Overheads excl. personnel costs61 | 85.277 € | ||
Personnel and social security costs62 | 399.422 € | ||
Depreciations and amortizations630/634 | 54.590 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 12.267 € | ||
Financial costs65 | 1.540 € | ||
Exceptional costs66 | 0 € | ||
Others | 68.397 € | ||
Total costs 2014 | 787.108 € |
Proceeds 2014
Total = 768.567 € (100%)
Private donations and corporate patronage73 | 276.921 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 40 € | ||
Proceeds from activities, sponsorships or events70 | 22.866 € | ||
Proceeds from services to beneficiaries70 | 108.062 € | ||
Public subsidies73 | 348.785 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 10.852 € | ||
Financial proceeds75 | 1.042 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 11.934 € | ||
Total proceeds 2014 | 768.567 € |
Balance : -18.541 €
Assets 2014
Fixed assets20/28 | 312.367 € | |
Current assets29/58 | 319.351 € | |
Total assets 2014 | 631.718 € |
Liabilities 2014
Capital and reserves10/15 | 579.692 € | |
Creditors and provisions16/49 | 52.027 € | |
Total liabilities 2014 | 631.718 € |
The available amounts on 31/12/2014 are 267.324 €. The available amounts are
defined as the difference between the current assets and the sum of debts and provisions.
Audit info : These figures result from the annual accounts which have been verified by Fonsny sprl-bvba, chartered-accountants IAB-IEC 7952 2F 55.
Costs 2013
Total = 668.701 € (100%)
Projects, activities excl. personnel costs60/61 | 90.374 € | ||
Fundraising costs excl. personnel costs60/61 | 1.743 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 9.212 € | ||
Overheads excl. personnel costs61 | 72.691 € | ||
Personnel and social security costs62 | 433.562 € | ||
Depreciations and amortizations630/634 | 48.667 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 6.201 € | ||
Financial costs65 | 3.106 € | ||
Exceptional costs66 | 3.146 € | ||
Others | 61.120 € | ||
Total costs 2013 | 668.701 € |
Proceeds 2013
Total = 639.325 € (100%)
Private donations and corporate patronage73 | 148.595 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 75 € | ||
Proceeds from activities, sponsorships or events70 | 22.699 € | ||
Proceeds from services to beneficiaries70 | 109.986 € | ||
Public subsidies73 | 342.883 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 12.538 € | ||
Financial proceeds75 | 2.549 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 15.163 € | ||
Total proceeds 2013 | 639.325 € |
Balance : -29.376 €
Assets 2013
Fixed assets20/28 | 308.018 € | |
Current assets29/58 | 339.489 € | |
Total assets 2013 | 647.507 € |
Liabilities 2013
Capital and reserves10/15 | 597.813 € | |
Creditors and provisions16/49 | 49.694 € | |
Total liabilities 2013 | 647.507 € |
The available amounts on 31/12/2013 are 289.795 €. The available amounts are
defined as the difference between the current assets and the sum of debts and provisions.
Audit info : These figures result from the annual accounts which have been verified by Fisco Zone sprl, accountant member of BIBF-IPCF nr 7004284.
Costs 2012
Total = 674.456 € (100%)
Projects, activities excl. personnel costs60/61 | 127.423 € | ||
Fundraising costs excl. personnel costs60/61 | 2.485 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 7.431 € | ||
Overheads excl. personnel costs61 | 88.354 € | ||
Personnel and social security costs62 | 354.644 € | ||
Depreciations and amortizations630/634 | 66.897 € | ||
Provisions for losses and expenses635/638 | 18.991 € | ||
Other operating expenses, taxes64/67 | 3.839 € | ||
Financial costs65 | 4.391 € | ||
Exceptional costs66 | 0 € | ||
Others | 94.119 € | ||
Total costs 2012 | 674.456 € |
Proceeds 2012
Total = 609.070 € (100%)
Private donations and corporate patronage73 | 139.097 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 43 € | ||
Proceeds from activities, sponsorships or events70 | 22.471 € | ||
Proceeds from services to beneficiaries70 | 101.667 € | ||
Public subsidies73 | 331.433 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 6.537 € | ||
Financial proceeds75 | 7.823 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 14.402 € | ||
Total proceeds 2012 | 609.070 € |
Balance : -65.386 €
Assets 2012
Fixed assets20/28 | 354.303 € | |
Current assets29/58 | 288.089 € | |
Total assets 2012 | 642.393 € |
Liabilities 2012
Capital and reserves10/15 | 614.528 € | |
Creditors and provisions16/49 | 27.864 € | |
Total liabilities 2012 | 642.393 € |
The available amounts on 31/12/2012 are 260.225 €. The available amounts are
defined as the difference between the current assets and the sum of debts and provisions.
Audit info : These figures result from the annual accounts which have been verified by Fisco Zone sprl, accountant member of BIBF-IPCF nr 7004284.
Costs 2011
Total = 607.843 € (100%)
Projects, activities excl. personnel costs60/61 | 117.075 € | ||
Fundraising costs excl. personnel costs60/61 | 811 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 5.659 € | ||
Overheads excl. personnel costs61 | 92.811 € | ||
Personnel and social security costs62 | 322.693 € | ||
Depreciations and amortizations630/634 | 64.334 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 3.646 € | ||
Financial costs65 | 813 € | ||
Exceptional costs66 | 0 € | ||
Others | 68.793 € | ||
Total costs 2011 | 607.843 € |
Proceeds 2011
Total = 640.375 € (100%)
Private donations and corporate patronage73 | 98.686 € | ||
Legacies73 | 130.693 € | ||
Membership fees73 | 52 € | ||
Proceeds from activities, sponsorships or events70 | 54.369 € | ||
Proceeds from services to beneficiaries70 | 66.782 € | ||
Public subsidies73 | 277.980 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 4.072 € | ||
Financial proceeds75 | 3.641 € | ||
Exceptional proceeds76 | 4.100 € | ||
Others | 11.866 € | ||
Total proceeds 2011 | 640.375 € |
Balance : 32.532 €
Assets 2011
Fixed assets20/28 | 350.631 € | |
Current assets29/58 | 341.444 € | |
Total assets 2011 | 692.074 € |
Liabilities 2011
Capital and reserves10/15 | 679.915 € | |
Creditors and provisions16/49 | 12.160 € | |
Total liabilities 2011 | 692.074 € |
The available amounts on 31/12/2011 are 329.284 €. The available amounts are
defined as the difference between the current assets and the sum of debts and provisions.
Release by Donorinfo - Last modification : 05/01/2021