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A year to contribute to society and to find yourself
Followed by donorinfo since:
2011
14, Raphaël street
1070
Brussels
02/503 20 45
Social mission
The organization Solidarcité offers young people between 16 and 25 years old the opportunity to be active as a volunteer for a year. Solidarcité was formerly a project of SOS Jeunes/Prospective Jeunesse, an organization active 24 hours a day, experienced in socio-pedagogical guidance of young people and their families.
This organisation communicates in French. Please consult the information in French to learn more.
Board of directors | Thibault Leroy (chairman), Jaida Elastal, Madeleine Guyot, Freddy Berisha, Bénédicte Blanpied | ||
Daily management | Benoît de Decker | ||
Founded in | 2006 | ||
Number of full-time equivalent employees(FTE) | 8,45 | ||
Number of volunteers | 0 | ||
Comment about volunteers/employees/boards of directors | The board members are not remunerated | ||
Account number(s) | BE53 3751 0302 1153 ou BE77 5230 4230 8142 (without fiscal certificate) - please mention 'via donorinfo.be' | ||
Fiscal certificate | Will be issued for donations reaching a total amount of 40 € during the calendar year, transferred into the account 'BE41 6300 1180 0010' of 'Arc-en-Ciel asbl/vzw' with reference 'Solidarcité n°17' | ||
Newsletter | E-news |
Audit info : These figures result from the annual accounts which have been audited by Jacques & Cie SPRL, auditors.
Costs 2017
Total = 666.080 € (100%)
Projects, activities excl. personnel costs60/61 | 64.655 € | ||
Fundraising costs excl. personnel costs60/61 | 1.033 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 1.184 € | ||
Overheads excl. personnel costs61 | 76.094 € | ||
Personnel and social security costs62 | 447.298 € | ||
Depreciations and amortizations630/634 | 52.758 € | ||
Provisions for losses and expenses635/638 | 12.450 € | ||
Other operating expenses, taxes64/67 | 2.038 € | ||
Financial costs65 | 5.775 € | ||
Exceptional costs66 | 2.796 € | ||
Others | 75.816 € | ||
Total costs 2017 | 666.080 € |
Proceeds 2017
Total = 667.228 € (100%)
Private donations and corporate patronage73 | 27.195 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 2.821 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 591.969 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 11.196 € | ||
Financial proceeds75 | 34.047 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 45.243 € | ||
Total proceeds 2017 | 667.228 € |
Balance : 1.148 €
Assets 2017
Fixed assets20/28 | 834.271 € | |
Current assets29/58 | 234.442 € | |
Total assets 2017 | 1.068.713 € |
Liabilities 2017
Capital and reserves10/15 | 744.493 € | |
Creditors and provisions16/49 | 324.221 € | |
Total liabilities 2017 | 1.068.713 € |
The available amounts on 31/12/2017 are -89.779 €. 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 audited by Jacques & Cie SPRL, auditors.
Costs 2016
Total = 605.065 € (100%)
Projects, activities excl. personnel costs60/61 | 60.563 € | ||
Fundraising costs excl. personnel costs60/61 | 30 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 88 € | ||
Overheads excl. personnel costs61 | 71.619 € | ||
Personnel and social security costs62 | 404.742 € | ||
Depreciations and amortizations630/634 | 53.091 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 1.931 € | ||
Financial costs65 | 10.852 € | ||
Exceptional costs66 | 2.150 € | ||
Others | 68.024 € | ||
Total costs 2016 | 605.065 € |
Proceeds 2016
Total = 600.811 € (100%)
Private donations and corporate patronage73 | 39.484 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 2.458 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 511.150 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 12.879 € | ||
Financial proceeds75 | 34.539 € | ||
Exceptional proceeds76 | 300 € | ||
Others | 47.718 € | ||
Total proceeds 2016 | 600.811 € |
Balance : -4.254 €
Assets 2016
Fixed assets20/28 | 887.029 € | |
Current assets29/58 | 208.976 € | |
Total assets 2016 | 1.096.005 € |
Liabilities 2016
Capital and reserves10/15 | 777.390 € | |
Creditors and provisions16/49 | 318.614 € | |
Total liabilities 2016 | 1.096.005 € |
The available amounts on 31/12/2016 are -109.639 €. 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 audited by Jacques & Cie SPRL, auditors.
Costs 2015
Total = 635.826 € (100%)
Projects, activities excl. personnel costs60/61 | 72.289 € | ||
Fundraising costs excl. personnel costs60/61 | 0 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 331 € | ||
Overheads excl. personnel costs61 | 82.184 € | ||
Personnel and social security costs62 | 413.988 € | ||
Depreciations and amortizations630/634 | 51.953 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 0 € | ||
Financial costs65 | 12.081 € | ||
Exceptional costs66 | 3.000 € | ||
Others | 67.034 € | ||
Total costs 2015 | 635.826 € |
Proceeds 2015
Total = 627.516 € (100%)
Private donations and corporate patronage73 | 45.970 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 12.155 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 523.927 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 10.904 € | ||
Financial proceeds75 | 33.858 € | ||
Exceptional proceeds76 | 702 € | ||
Others | 45.464 € | ||
Total proceeds 2015 | 627.516 € |
Balance : -8.310 €
Assets 2015
Fixed assets20/28 | 926.901 € | |
Current assets29/58 | 211.433 € | |
Total assets 2015 | 1.138.334 € |
Liabilities 2015
Capital and reserves10/15 | 808.647 € | |
Creditors and provisions16/49 | 329.687 € | |
Total liabilities 2015 | 1.138.334 € |
The available amounts on 31/12/2015 are -118.254 €. 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 audited by Jacques & Cie SPRL, auditors.
Costs 2014
Total = 614.043 € (100%)
Projects, activities excl. personnel costs60/61 | 83.623 € | ||
Fundraising costs excl. personnel costs60/61 | 702 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 596 € | ||
Overheads excl. personnel costs61 | 91.131 € | ||
Personnel and social security costs62 | 366.943 € | ||
Depreciations and amortizations630/634 | 54.262 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 4.609 € | ||
Financial costs65 | 12.177 € | ||
Exceptional costs66 | 0 € | ||
Others | 71.048 € | ||
Total costs 2014 | 614.043 € |
Proceeds 2014
Total = 617.053 € (100%)
Private donations and corporate patronage73 | 24.063 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 13.717 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 531.912 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 11.261 € | ||
Financial proceeds75 | 36.100 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 47.361 € | ||
Total proceeds 2014 | 617.053 € |
Balance : 3.010 €
Assets 2014
Fixed assets20/28 | 950.870 € | |
Current assets29/58 | 246.949 € | |
Total assets 2014 | 1.197.819 € |
Liabilities 2014
Capital and reserves10/15 | 823.105 € | |
Creditors and provisions16/49 | 374.714 € | |
Total liabilities 2014 | 1.197.819 € |
The available amounts on 31/12/2014 are -127.765 €. 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 audited by Jacques & Cie SPRL, auditors.
Costs 2013
Total = 570.959 € (100%)
Projects, activities excl. personnel costs60/61 | 83.962 € | ||
Fundraising costs excl. personnel costs60/61 | 1.844 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 158 € | ||
Overheads excl. personnel costs61 | 70.509 € | ||
Personnel and social security costs62 | 362.214 € | ||
Depreciations and amortizations630/634 | 49.660 € | ||
Provisions for losses and expenses635/638 | -10.000 € | ||
Other operating expenses, taxes64/67 | 2.278 € | ||
Financial costs65 | 10.335 € | ||
Exceptional costs66 | 0 € | ||
Others | 52.273 € | ||
Total costs 2013 | 570.959 € |
Proceeds 2013
Total = 557.192 € (100%)
Private donations and corporate patronage73 | 26.024 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 21.334 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 471.205 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 9.104 € | ||
Financial proceeds75 | 29.525 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 38.628 € | ||
Total proceeds 2013 | 557.192 € |
Balance : -13.767 €
Assets 2013
Fixed assets20/28 | 926.648 € | |
Current assets29/58 | 167.629 € | |
Total assets 2013 | 1.094.277 € |
Liabilities 2013
Capital and reserves10/15 | 794.325 € | |
Creditors and provisions16/49 | 299.952 € | |
Total liabilities 2013 | 1.094.277 € |
The available amounts on 31/12/2013 are -132.323 €. 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 audited by Jacques & Cie SPRL, auditors.
Costs 2012
Total = 589.428 € (100%)
Projects, activities excl. personnel costs60/61 | 97.571 € | ||
Fundraising costs excl. personnel costs60/61 | 1.050 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 1.055 € | ||
Overheads excl. personnel costs61 | 86.990 € | ||
Personnel and social security costs62 | 369.656 € | ||
Depreciations and amortizations630/634 | 50.094 € | ||
Provisions for losses and expenses635/638 | -30.000 € | ||
Other operating expenses, taxes64/67 | 1.600 € | ||
Financial costs65 | 10.256 € | ||
Exceptional costs66 | 1.157 € | ||
Others | 33.107 € | ||
Total costs 2012 | 589.428 € |
Proceeds 2012
Total = 553.716 € (100%)
Private donations and corporate patronage73 | 6.835 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 45.464 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 467.564 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 6.235 € | ||
Financial proceeds75 | 27.618 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 33.853 € | ||
Total proceeds 2012 | 553.716 € |
Balance : -35.712 €
Assets 2012
Fixed assets20/28 | 882.211 € | |
Current assets29/58 | 227.866 € | |
Total assets 2012 | 1.110.077 € |
Liabilities 2012
Capital and reserves10/15 | 817.999 € | |
Creditors and provisions16/49 | 292.078 € | |
Total liabilities 2012 | 1.110.077 € |
The available amounts on 31/12/2012 are -64.213 €. 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 audited by Jacques & Cie SPRL, auditors.
Costs 2011
Total = 607.121 € (100%)
Projects, activities excl. personnel costs60/61 | 93.005 € | ||
Fundraising costs excl. personnel costs60/61 | 9.499 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 2.036 € | ||
Overheads excl. personnel costs61 | 82.067 € | ||
Personnel and social security costs62 | 377.504 € | ||
Depreciations and amortizations630/634 | 46.532 € | ||
Provisions for losses and expenses635/638 | -12.000 € | ||
Other operating expenses, taxes64/67 | 2.514 € | ||
Financial costs65 | 5.531 € | ||
Exceptional costs66 | 432 € | ||
Others | 43.010 € | ||
Total costs 2011 | 607.121 € |
Proceeds 2011
Total = 662.468 € (100%)
Private donations and corporate patronage73 | 84.494 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 32.717 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 477.508 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 1.586 € | ||
Financial proceeds75 | 27.719 € | ||
Exceptional proceeds76 | 38.443 € | ||
Others | 67.748 € | ||
Total proceeds 2011 | 662.468 € |
Balance : 55.347 €
Assets 2011
Fixed assets20/28 | 811.867 € | |
Current assets29/58 | 348.125 € | |
Total assets 2011 | 1.159.991 € |
Liabilities 2011
Capital and reserves10/15 | 809.494 € | |
Creditors and provisions16/49 | 350.497 € | |
Total liabilities 2011 | 1.159.991 € |
The available amounts on 31/12/2011 are -2.372 €. The available amounts are
defined as the difference between the current assets and the sum of debts and provisions.
Release by Donorinfo - Last modification : 30/10/2019