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To materialize the wishes expressed by children, aged 3 to 18, suffering from serious illness
Followed by donorinfo since:
2005
Gentsesteenweg 3 bus 002
2800
Mechelen
015/67 60 00 (08:30-17:00)
Make-A-Wish foundation was created in the U.S. in 1980. At present, it exists in 38 countries on 5 continents. Its mission is to help children between the ages of 3 and 18 who are affected by serious illness to materialize a wish. The idea is to offer to both the children and their families an unforgetable moment of happiness in spite of all their worries, hardships and grief.
Make-A-Wish sees to it that the whole family is associated to the event and that the wish will materialize in a festive atmosphere.
This organisation communicates in Dutch. Please consult the information in Dutch to learn more.
Board of directors | Leo Peeters (chairman), Steven Schoenmaekers (vice-chairman), Filip Palmans (secretary), Stefan Stremersch (treasurer), Veroni Ballet, Davy De Vlieger, Kristof Van Kerkhoven | ||
Daily management | Hilde Vander Stichele | ||
Founded in | 1989 | ||
Number of full-time equivalent employees(FTE) | 3,2 | ||
Number of volunteers | 120 | ||
Comment about volunteers/employees/boards of directors | The board members are not remunerated. | ||
Account number(s) | BE83 4093 0351 0115 - please mention 'via donorinfo.be' | ||
Fiscal certificate | Will be issued for donations reaching a total amount of 40 € during the calendar year | ||
Newsletter | Newsletter 4 times a year, by post or digital |
Audit info : These figures result from the annual accounts which have been audited by Groupe Audit Belgium, auditor IBR-IRE.
Costs 2019
Total = 870.564 € (100%)
Projects, activities excl. personnel costs60/61 | 421.449 € | ||
Fundraising costs excl. personnel costs60/61 | 193.232 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 0 € | ||
Overheads excl. personnel costs61 | 45.848 € | ||
Personnel and social security costs62 | 193.434 € | ||
Depreciations and amortizations630/634 | 10.060 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 6.001 € | ||
Financial costs65 | 541 € | ||
Exceptional costs66 | 0 € | ||
Others | 16.601 € | ||
Total costs 2019 | 870.564 € |
Proceeds 2019
Total = 1.299.048 € (100%)
Private donations and corporate patronage73 | 935.559 € | ||
Legacies73 | 122.223 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 231.732 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 0 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 8.469 € | ||
Financial proceeds75 | 1.065 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 9.534 € | ||
Total proceeds 2019 | 1.299.048 € |
Balance : 428.484 €
Assets 2019
Fixed assets20/28 | 263.918 € | |
Current assets29/58 | 2.749.799 € | |
Total assets 2019 | 3.013.717 € |
Liabilities 2019
Capital and reserves10/15 | 2.986.923 € | |
Creditors and provisions16/49 | 26.794 € | |
Total liabilities 2019 | 3.013.717 € |
The available amounts on 31/12/2019 are 2.723.005 €. 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 Moore Stephens Audit, auditor IBR-IRE.
Costs 2018
Total = 894.741 € (100%)
Projects, activities excl. personnel costs60/61 | 550.312 € | ||
Fundraising costs excl. personnel costs60/61 | 202.756 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 0 € | ||
Overheads excl. personnel costs61 | 53.259 € | ||
Personnel and social security costs62 | 79.124 € | ||
Depreciations and amortizations630/634 | 6.575 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 2.167 € | ||
Financial costs65 | 548 € | ||
Exceptional costs66 | 0 € | ||
Others | 9.290 € | ||
Total costs 2018 | 894.741 € |
Proceeds 2018
Total = 2.109.091 € (100%)
Private donations and corporate patronage73 | 928.629 € | ||
Legacies73 | 873.833 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 296.932 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 8.385 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 195 € | ||
Financial proceeds75 | 1.116 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 1.312 € | ||
Total proceeds 2018 | 2.109.091 € |
Balance : 1.214.350 €
Assets 2018
Fixed assets20/28 | 266.450 € | |
Current assets29/58 | 2.353.785 € | |
Total assets 2018 | 2.620.235 € |
Liabilities 2018
Capital and reserves10/15 | 2.558.438 € | |
Creditors and provisions16/49 | 61.797 € | |
Total liabilities 2018 | 2.620.235 € |
The available amounts on 31/12/2018 are 2.291.988 €. 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 LLC Boudewijn Van Ussel - C°, auditor IBR-IRE.
Costs 2017
Total = 884.279 € (100%)
Projects, activities excl. personnel costs60/61 | 582.396 € | ||
Fundraising costs excl. personnel costs60/61 | 166.163 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 0 € | ||
Overheads excl. personnel costs61 | 52.526 € | ||
Personnel and social security costs62 | 71.561 € | ||
Depreciations and amortizations630/634 | 11.081 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 64 € | ||
Financial costs65 | 488 € | ||
Exceptional costs66 | 0 € | ||
Others | 11.632 € | ||
Total costs 2017 | 884.279 € |
Proceeds 2017
Total = 1.207.752 € (100%)
Private donations and corporate patronage73 | 839.605 € | ||
Legacies73 | 63.652 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 294.534 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 9.426 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 0 € | ||
Financial proceeds75 | 153 € | ||
Exceptional proceeds76 | 381 € | ||
Others | 534 € | ||
Total proceeds 2017 | 1.207.752 € |
Balance : 323.473 €
Assets 2017
Fixed assets20/28 | 282.888 € | |
Current assets29/58 | 1.113.541 € | |
Total assets 2017 | 1.396.429 € |
Liabilities 2017
Capital and reserves10/15 | 1.344.088 € | |
Creditors and provisions16/49 | 52.341 € | |
Total liabilities 2017 | 1.396.429 € |
The available amounts on 31/12/2017 are 1.061.200 €. 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 LLC Boudewijn Van Ussel - C°, auditor IBR-IRE.
Costs 2016
Total = 1.043.934 € (100%)
Projects, activities excl. personnel costs60/61 | 785.837 € | ||
Fundraising costs excl. personnel costs60/61 | 125.814 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 0 € | ||
Overheads excl. personnel costs61 | 58.927 € | ||
Personnel and social security costs62 | 46.855 € | ||
Depreciations and amortizations630/634 | 23.726 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 2.354 € | ||
Financial costs65 | 422 € | ||
Exceptional costs66 | 0 € | ||
Others | 26.501 € | ||
Total costs 2016 | 1.043.934 € |
Proceeds 2016
Total = 1.087.872 € (100%)
Private donations and corporate patronage73 | 844.506 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 228.598 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 9.475 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 726 € | ||
Financial proceeds75 | 4.568 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 5.294 € | ||
Total proceeds 2016 | 1.087.872 € |
Balance : 43.938 €
Assets 2016
Fixed assets20/28 | 306.983 € | |
Current assets29/58 | 857.666 € | |
Total assets 2016 | 1.164.649 € |
Liabilities 2016
Capital and reserves10/15 | 1.020.616 € | |
Creditors and provisions16/49 | 144.033 € | |
Total liabilities 2016 | 1.164.649 € |
The available amounts on 31/12/2016 are 713.633 €. 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 Boudewijn Van Ussel & Co BVBA, auditor IBR-IRE.
Costs 2015
Total = 971.421 € (100%)
Projects, activities excl. personnel costs60/61 | 607.198 € | ||
Fundraising costs excl. personnel costs60/61 | 232.676 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 0 € | ||
Overheads excl. personnel costs61 | 67.386 € | ||
Personnel and social security costs62 | 46.228 € | ||
Depreciations and amortizations630/634 | 16.053 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 1.736 € | ||
Financial costs65 | 144 € | ||
Exceptional costs66 | 0 € | ||
Others | 17.934 € | ||
Total costs 2015 | 971.421 € |
Proceeds 2015
Total = 925.848 € (100%)
Private donations and corporate patronage73 | 686.086 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 207.737 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 10.142 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 1.472 € | ||
Financial proceeds75 | 3.692 € | ||
Exceptional proceeds76 | 16.720 € | ||
Others | 21.883 € | ||
Total proceeds 2015 | 925.848 € |
Balance : -45.573 €
Assets 2015
Fixed assets20/28 | 349.083 € | |
Current assets29/58 | 672.593 € | |
Total assets 2015 | 1.021.676 € |
Liabilities 2015
Capital and reserves10/15 | 976.678 € | |
Creditors and provisions16/49 | 44.998 € | |
Total liabilities 2015 | 1.021.676 € |
The available amounts on 31/12/2015 are 627.595 €. 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 Boudewijn Van Ussel & Co BVBA, auditor IBR-IRE.
Costs 2014
Total = 875.502 € (100%)
Projects, activities excl. personnel costs60/61 | 656.246 € | ||
Fundraising costs excl. personnel costs60/61 | 128.540 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 0 € | ||
Overheads excl. personnel costs61 | 48.298 € | ||
Personnel and social security costs62 | 28.908 € | ||
Depreciations and amortizations630/634 | 10.228 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 3.130 € | ||
Financial costs65 | 151 € | ||
Exceptional costs66 | 0 € | ||
Others | 13.509 € | ||
Total costs 2014 | 875.502 € |
Proceeds 2014
Total = 799.831 € (100%)
Private donations and corporate patronage73 | 429.928 € | ||
Legacies73 | 5.019 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 345.949 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 10.559 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 1.240 € | ||
Financial proceeds75 | 7.137 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 8.377 € | ||
Total proceeds 2014 | 799.831 € |
Balance : -75.671 €
Assets 2014
Fixed assets20/28 | 405.053 € | |
Current assets29/58 | 660.234 € | |
Total assets 2014 | 1.065.287 € |
Liabilities 2014
Capital and reserves10/15 | 1.022.251 € | |
Creditors and provisions16/49 | 43.036 € | |
Total liabilities 2014 | 1.065.287 € |
The available amounts on 31/12/2014 are 617.198 €. 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 BVBA Boudewijn Van Ussel & C°, auditors.
Costs 2013
Total = 864.469 € (100%)
Projects, activities excl. personnel costs60/61 | 675.270 € | ||
Fundraising costs excl. personnel costs60/61 | 86.734 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 0 € | ||
Overheads excl. personnel costs61 | 77.055 € | ||
Personnel and social security costs62 | 18.191 € | ||
Depreciations and amortizations630/634 | 3.835 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 3.117 € | ||
Financial costs65 | 267 € | ||
Exceptional costs66 | 0 € | ||
Others | 7.220 € | ||
Total costs 2013 | 864.469 € |
Proceeds 2013
Total = 830.781 € (100%)
Private donations and corporate patronage73 | 569.573 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 232.435 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 11.186 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 947 € | ||
Financial proceeds75 | 16.641 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 17.587 € | ||
Total proceeds 2013 | 830.781 € |
Balance : -33.688 €
Assets 2013
Fixed assets20/28 | 111.856 € | |
Current assets29/58 | 1.011.150 € | |
Total assets 2013 | 1.123.006 € |
Liabilities 2013
Capital and reserves10/15 | 1.097.921 € | |
Creditors and provisions16/49 | 25.085 € | |
Total liabilities 2013 | 1.123.006 € |
The available amounts on 31/12/2013 are 986.065 €. 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 BVBA Boudewijn Van Ussel & C°, auditors.
Costs 2012
Total = 807.606 € (100%)
Projects, activities excl. personnel costs60/61 | 612.902 € | ||
Fundraising costs excl. personnel costs60/61 | 117.388 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 0 € | ||
Overheads excl. personnel costs61 | 47.752 € | ||
Personnel and social security costs62 | 24.101 € | ||
Depreciations and amortizations630/634 | 2.148 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 2.367 € | ||
Financial costs65 | 948 € | ||
Exceptional costs66 | 0 € | ||
Others | 5.463 € | ||
Total costs 2012 | 807.606 € |
Proceeds 2012
Total = 964.151 € (100%)
Private donations and corporate patronage73 | 585.635 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 354.880 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 12.222 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 230 € | ||
Financial proceeds75 | 11.184 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 11.414 € | ||
Total proceeds 2012 | 964.151 € |
Balance : 156.545 €
Assets 2012
Fixed assets20/28 | 97.998 € | |
Current assets29/58 | 1.050.982 € | |
Total assets 2012 | 1.148.980 € |
Liabilities 2012
Capital and reserves10/15 | 1.131.610 € | |
Creditors and provisions16/49 | 17.370 € | |
Total liabilities 2012 | 1.148.980 € |
The available amounts on 31/12/2012 are 1.033.612 €. 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 BVBA Boudewijn Van Ussel & C°, auditors.
Costs 2011
Total = 747.364 € (100%)
Projects, activities excl. personnel costs60/61 | 589.154 € | ||
Fundraising costs excl. personnel costs60/61 | 69.429 € | ||
Information, awareness raising and education excl. personnel costs60/61 | 0 € | ||
Overheads excl. personnel costs61 | 61.543 € | ||
Personnel and social security costs62 | 21.702 € | ||
Depreciations and amortizations630/634 | 1.773 € | ||
Provisions for losses and expenses635/638 | 0 € | ||
Other operating expenses, taxes64/67 | 2.795 € | ||
Financial costs65 | 967 € | ||
Exceptional costs66 | 0 € | ||
Others | 5.535 € | ||
Total costs 2011 | 747.364 € |
Proceeds 2011
Total = 961.013 € (100%)
Private donations and corporate patronage73 | 553.293 € | ||
Legacies73 | 0 € | ||
Membership fees73 | 0 € | ||
Proceeds from activities, sponsorships or events70 | 384.349 € | ||
Proceeds from services to beneficiaries70 | 0 € | ||
Public subsidies73 | 15.102 € | ||
Tombola70 | 0 € | ||
Other operating proceeds74 | 610 € | ||
Financial proceeds75 | 7.659 € | ||
Exceptional proceeds76 | 0 € | ||
Others | 8.269 € | ||
Total proceeds 2011 | 961.013 € |
Balance : 213.649 €
Assets 2011
Fixed assets20/28 | 98.164 € | |
Current assets29/58 | 904.726 € | |
Total assets 2011 | 1.002.890 € |
Liabilities 2011
Capital and reserves10/15 | 975.065 € | |
Creditors and provisions16/49 | 27.826 € | |
Total liabilities 2011 | 1.002.890 € |
The available amounts on 31/12/2011 are 876.901 €. The available amounts are
defined as the difference between the current assets and the sum of debts and provisions.
Release by Donorinfo - Last modification : 24/06/2020