Promotion of the well-being of people suffering from multiple sclerosis (MS) and those close to them. Followed by donorinfo since: 2010 +32 (0)81 401555 info@liguesep.be http://www.liguesep.be PDF version Make a donation Project info Social mission To inform the general public about multiple sclerosis (MS) and how it impacts on day-to-day life, to take care of and defend the interests and rights of people suffering from MS and those around them, to provide financial help to cover part of the additional costs brought about by the disease. This organisation communicates in French. Please consult the information in French to learn more about it. General information Board of directors Daily management Patricia GILLARD - MILARD (chairman), Françoise MALVAUX (vice-chairman), Christian COLLET (treasurer), Dominique Regout, Michel Lebrun, Charles van der Straten Waillet, Marie-Elisabeth VOLCKRICK, Régine van Zuylen, Nathalie PARFAIT, Georges van der Straten, Jean-Marie Delforge Marc Dufour Founded in 1982 Number of full-time equivalent employees(fte) 20,03 Number of volunteers 200 Comment about volunteers/employees/boards of directors Account number(s) Fiscal certificate Newsletter The board members are not remunerated BE71 2500 13850069 - GEBABEBB - please mention 'via donorinfo.be' Will be issued for donations reaching a total amount of 4 during the calendar year La Clef, quarterly
Financial information 2017 Costs 2017 Proceeds 2017 Total = 2.972.073 (100%) Total = 2.688.367 (100%) Projects, activities excl. 978.459 123.738 Fundraising costs excl. 436.676 238.711 16.125 50.013 1.231.19 Overheads excl. 61 169.356 70 Proceeds from services to beneficiaries 108.484 1.241.64 489.341 56.664 Provisions for losses and expenses635/638 287.812 8.18 151.641 61.461 7.437 3.512 Total costs 2017 2.972.073 Total proceeds 2017 2.688.367 Balance : -283.706 Assets 2017 Liabilities 2017 396.486 5.814.905 6.142.124 723.705 Total assets 2017 6.538.61 Total liabilities 2017 6.538.61 The available amounts on 31/12/2017 are 5.418.419. The available amounts are defined as the difference between the current assets and the sum of debts and provisions.
2016 Costs 2016 Proceeds 2016 Total = 3.363.304 (100%) Total = 2.648.167 (100%) Projects, activities excl. 1.128.132 205.422 Fundraising costs excl. 495.308 238.711 34.579 39.94 1.261.239 Overheads excl. 61 254.561 116.885 1.334.519 435.873 94.415 Provisions for losses and expenses635/638 285.061 10.142 59.871 48.46 5.165-36.812 Total costs 2016 3.363.304 Total proceeds 2016 2.648.167 Balance : -715.137 Assets 2016 Liabilities 2016 448.112 5.128.269 5.461.518 781.361 Total assets 2016 5.909.63 Total liabilities 2016 5.909.63 The available amounts on 31/12/2016 are 4.680.157. The available amounts are defined as the difference between the current assets and the sum of debts and provisions.
2015 Costs 2015 Proceeds 2015 Total = 3.263.399 (100%) Total = 2.387.175 (100%) Projects, activities excl. 934.718 128.785 Fundraising costs excl. 475.405 46.532 43.701 1.264.382 Overheads excl. 61 136.847 120.105 1.331.781 431.789 102.087 Provisions for losses and expenses635/638-25.00 279.589 67.268 109.744 172.237 9.08 21.524 Total costs 2015 3.263.399 Total proceeds 2015 2.387.175 Balance : -876.224 Assets 2015 Liabilities 2015 507.478 5.795.562 5.862.743 574.659 Total assets 2015 6.370.221 Total liabilities 2015 6.370.221 The available amounts on 31/12/2015 are 5.288.084. The available amounts are defined as the difference between the current assets and the sum of debts and provisions.
2014 Costs 2014 Proceeds 2014 Total = 2.949.054 (100%) Total = 2.865.727 (100%) Projects, activities excl. 905.796 606.349 Fundraising costs excl. 492.457 46.142 41.511 1.301.158 Overheads excl. 61 225.813 125.587 1.112.686 426.514 115.128 Provisions for losses and expenses635/638-7.372 67.925 29.982 75 Financial proceeds 291.156 25.376 5.527 3.046 Total costs 2014 2.949.054 Total proceeds 2014 2.865.727 Balance : -83.327 Assets 2014 Liabilities 2014 596.284 6.100.743 6.118.846 614.387 Total assets 2014 6.715.13 Total liabilities 2014 6.715.13 The available amounts on 31/12/2014 are 5.504.459. The available amounts are defined as the difference between the current assets and the sum of debts and provisions.
2013 Costs 2013 Proceeds 2013 Total = 2.929.145 (100%) Total = 2.192.559 (100%) Projects, activities excl. 874.074 123.058 Fundraising costs excl. 511.199 27.921 39.385 1.315.102 Overheads excl. 61 281.294 111.467 1.130.186 425.544 107.554 635/638 Provisions for losses and expenses 38.011 27.603 139.778-40.535 214 9.849 Total costs 2013 2.929.145 Total proceeds 2013 2.192.559 Balance : -736.586 Assets 2013 Liabilities 2013 570.365 5.736.586 5.849.188 682.967 Total assets 2013 6.419.553 Total liabilities 2013 6.419.553 The available amounts on 31/12/2013 are 5.166.221. The available amounts are defined as the difference between the current assets and the sum of debts and provisions.
2012 Costs 2012 Proceeds 2012 Total = 2.743.965 (100%) Total = 2.400.221 (100%) Projects, activities excl. 751.524 207.481 Fundraising costs excl. 507.67 13.286 73 Membership fees 39.143 1.454.813 61 Overheads excl. 235.905 70 Proceeds from services to beneficiaries 131.032 1.139.66 410.187 630/634 Depreciations and amortizations 73.988 635/638 Provisions for losses and expenses -42.161 74 Other operating proceeds 27.028 43.873 130.537 65 Financial costs 14.066 76 Exceptional proceeds 6.154 Total costs 2012 2.743.965 Total proceeds 2012 2.400.221 Balance : -343.744 Assets 2012 Liabilities 2012 413.59 5.785.137 6.072.477 700.93 Total assets 2012 6.486.067 Total liabilities 2012 6.486.067 The available amounts on 31/12/2012 are 5.371.547. The available amounts are defined as the difference between the current assets and the sum of debts and provisions.
2011 Costs 2011 Proceeds 2011 Total = 2.616.357 (100%) Total = 2.595.584 (100%) Projects, activities excl. 773.838 73 Private donations and corporate patronage 254.151 Fundraising costs excl. 572.998 88.452 73 Membership fees 70 Proceeds from activities, sponsorships or events 39.138 1.581.274 61 Overheads excl. 126.245 134.617 62 Personnel and social security costs 951.243 73 Public subsidies 387.332 65.171 635/638 Provisions for losses and expenses -42.701 74 Other operating proceeds 45.888 13.538 75 Financial proceeds 151.933 65 Financial costs 55.471 1.251 66 Exceptional costs 12.102 Total costs 2011 2.616.357 Total proceeds 2011 2.595.584 Balance : -20.773 Assets 2011 Liabilities 2011 20/28 Fixed assets 423.321 10/15 Capital and reserves 6.096.804 6.221.571 548.088 Total assets 2011 6.644.892 Total liabilities 2011 6.644.892 The available amounts on 31/12/2011 are 5.673.483. The available amounts are defined as the difference between the current assets and the sum of debts and provisions.