TDA/H Belgique asbl

Supporting people suffering from Attention Deficit Disorder, combined with Hyperactivity or not

Objective
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.

ASSETSLIABILITIES
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 2010PROCEEDS 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.

ASSETSLIABILITIES
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 2009PROCEEDS 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.

ASSETSLIABILITIES
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 2008PROCEEDS 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

Balance: 623 €

Remarks