BEREC Office Budget Implementation and Cash-flow Forecast for 2015

Document number: MC (15) 33

Document date: 06-03-2015

Date of registration: 09-03-2015

Document type:
Author: BEREC Office AM

In compliance with the provisions of the BEREC Office Financial Regulation the BEREC Office has prepared a cash-flow statement showing amounts to be collected and disbursed during the year and the a reprot on its budegt implementation, which will be submitted to tthe Commission with a request for the peyment of the 1st intallment of the EU subcidy.

The current document is intended for internal use and is not available to the public.

More information about the implementation of the BEREC Office budget and financial management system at the BEREC Office can be found here.