TDA/H Belgique asbl
Supporting people suffering from Attention Deficit Disorder, combined with Hyperactivity or notObjective
To allow to people confronted with the Attention-deficit hyperactivity disorder (ADHD) manage in an optimal way all consequences of these disorders.
Activities
- Permanences Thursday from 9am to 12.30 pm and from 13.30 to 17pm (except school holidays)
- Forum on http://tdahbe.forumdediscussions.net/
- Publication of specialized booklets
- Monthly speech groups for parents of children ADHD and adults ADHD
- Organization of sessions for school teachers and for overal public
- Traineeships for school teachers, social workers of PMS, parents
- Specialized library
Concrete needs 2012
Financial support to organize the following activities:
- Conferences over the ADD
- Programs of psycho-education for children, teenagers and adults with ADHD
- Stand in the Education Fair in Namur October 2012 and in International conferences over ADHD
- Speech groups all around the belgian french community
- Traineeships for parents of children ADHD
- Production of a dvd over ADHD
- Development of the specialized library
- Holiday camps for children with ADHD
Volunteers in Belgium:
Webmaster specialized in Joomla, logistics, fundraising
| Board of directors | Linda Gaumy (chairman), André Herry, Carine Van Nieuwenhove, Christie Samsoen, Nicole Gérard |
| Daily management | Pascale De Coster (managing director) |
| Founded in | December 2004 |
| Newsletter | 'Guide à l'attention des parents confrontés au TDA/H', 'TDA/H et scolarité' 'TDA/H et adolescence', 'Attention à mon attention' |
| Account number(s) | 734-0135052-37 with reference 'via donorinfo.be' |
| Fiscal certificate | Yes |
| Will be issued for donations reaching a total amount of 40 € during the calendar year | |
| Number of full-time equivalent employees(FTE) | 2 |
| Number of volunteers | 10 |
Audit info: These figures result from the annual accounts that have been audited by Ernst & Young, auditors.
| ASSETS | LIABILITIES | ||
| Fixed assets | 5 341 | Capital and reserves | 60 942 |
| Current assets | 61 284 | Creditors and provisions | 5 683 |
| 66 625 | 66 625 | ||
The available amounts on 31/12/2010 are 55 601 €. The available amounts are defined as the difference between the current assets and the sum of debts and provisions..
| COSTS 2010 | PROCEEDS 2010 | ||
| Projects/activities | 28 366 | Donations and sponsoring | 27 340 |
| Fundraising costs | 0 | Legacies | 0 |
| Information, awaireness raising and education costs | 16 470 | Membership fees | 8 521 |
| Overheads (without personnel costs) | 23 127 | Proceeds from activities: book and brichures sales, conferences | 20 361 |
| Personnel and social security costs | 37 558 | Proceeds from services to beneficiaries | 0 |
| Amortizations and depreciations | 1 493 | Subsidies | 78 839 |
| Provisions | 0 | Other operating proceeds | 0 |
| Other operating expenses | 422 | Financial proceeds | 649 |
| Financial costs | 73 | Exceptional proceeds | 0 |
| Exceptional costs | 0 | ||
| Total costs | 107 509 | Total proceeds | 135 710 |
Balance: 28 201 €
Remarks
Audit info: These figures result from the annual accounts which have been audited by Ernst & Young, auditors.
| ASSETS | LIABILITIES | ||
| Fixed assets | 3 776 | Capital and reserves | 32 741 |
| Current assets | 34 770 | Creditors and provisions | 5 805 |
| 38 546 | 38 546 | ||
The available amounts on 31/12/2009 are 28 965 €. The available amounts are defined as the difference between the current assets and the sum of debts and provisions..
| COSTS 2009 | PROCEEDS 2009 | ||
| Projects/activities | 17 697 | Donations and sponsoring | 38 393 |
| Fundraising costs | 0 | Legacies | 0 |
| Lobby and awaireness raising costs | 0 | Membership fees | 6 333 |
| Communication, organization conferences and seminars | 0 | Proceeds from activities: book and brochures sales, conferences | 5 079 |
| Personnel and social security costs | 28 253 | Subsidies | 30 488 |
| Overheads | 20 321 | Other operating proceeds | 0 |
| Amortizations and depreciations | 1 877 | Financial proceeds | 11 |
| Provisions | 0 | Exceptional proceeds | 0 |
| Other operating expenses | 0 | ||
| Financial costs | 98 | ||
| Total costs | 68 246 | Total proceeds | 80 304 |
Balance: 12 058 €
Remarks
Audit info: These figures result from the annual accounts which have been audited by Ernst & Young, auditors.
| ASSETS | LIABILITIES | ||
| Fixed assets | 1 246 | Capital and reserves | 20 684 |
| Current assets | 20 406 | Creditors and provisions | 967 |
| 21 652 | 21 651 | ||
The available amounts on 31/12/2008 are 19 439 €. The available amounts are defined as the difference between the current assets and the sum of debts and provisions..
| COSTS 2008 | PROCEEDS 2008 | ||
| Projects, activities | 9 773 | Donations | 9 695 |
| Fundraising costs | 149 | Legacies | 0 |
| Overheads | 6 044 | Proceeds from activities | 3 019 |
| Personnel and social security costs | 8 538 | Membership fees | 2 940 |
| Depreciations | 2 274 | Subsidies (personnel) | 9 633 |
| Financial costs | 30 | Exceptional proceeds | 1 999 |
| Financial proceeds | 145 | ||
| Total costs | 26 808 | Total proceeds | 27 431 |
