Financial Report 2025

Financial Report (Årsbokslut) for Libera Chat (802535-6448), for the fiscal year 2025-01-01 – 2025-12-31. This Financial report is established using the K1 rules for simplified annual report as per BFN. The organisation’s financial reporting is in SEK.

Profit and Loss Statement

                                    2025-01-01--     2024-01-01--     2023-01-01--
                            Not       2025-12-31       2024-12-31       2023-12-31
----------------------------------------------------------------------------------
PROFITS
  Donations and subsidies     1           29 621           13 573           11 897
  Other income                               186                0                0
                                    ------------     ------------     ------------
  SUM PROFITS                             29 807           13 573           11 897


LOSSES
  Operating costs                              0              289              784
  Administrative costs                    13 475           11 870           10 660
  Legal expenses                          19 894                0                0
  Other costs                                  8              240                0
                                    ------------     ------------     ------------
  SUM LOSSES                              33 377           12 399           11 444


RESULTS
  Operating profit                  -      3 570            1 174              453
  Financial posts
    Income from interest                   2 369            4 140              139
    Penalty interest expenses                  0     -         25                0
  Dispositions
    Tax charged to profit/loss      -        852                0                0
                                    ------------     ------------     ------------
  Year's result                     -      2 053            5 289              592

Balance Sheet

                            Not       2025-01-01         Result     2025-12-31
------------------------------------------------------------------------------
ASSETS
  Fixed assets                                 0              0              0
  Current assets
    Accounts receivable                      894            757          1 651
    Bank accounts             2          125 100   -      1 954        123 146
                                    ------------   ------------   ------------
  SUM ASSETS                             125 994   -      1 197        124 797


EQUITY
  Balanced surplus/deficit               120 574          5 289        125 864
  Year's result                            5 289   -      7 342   -      2 053
                                    ------------   ------------   ------------
  SUM EQUITY                             125 864   -      2 053        123 811


DEBTS
  Long-term liabilities                        0              0              0
  Short-term liabilities                     130            856            986
                                    ------------   ------------   ------------
  SUM DEBTS                                  130            856            986

SUM EQUITY AND DEBTS                     125 994   -      1 197        124 797

Notes

Note 1 - Profits (Donations and subsidies)

                                    2025-01-01--     2024-01-01--     2023-01-01--
                                      2025-12-31       2024-12-31       2023-12-31
----------------------------------------------------------------------------------
Recurring donations Liberapay             29 621           13 016           11 897
FreeWear sponsorship                           0              557                0
One-time donations                             0                0                0
                                    ------------     ------------     ------------
SUM                                       29 621           13 573           11 897

Note 2 - Current assets (accounts and interest rates, excl receivables)

                                                                        2025-12-31
----------------------------------------------------------------------------------
Primary transaction account (0.00 %, 2012-03-01--)                           2 136
Savings account             (0.00 %, 2025-11-07--)                          21 010
Placement account           (1.60 %, 2025-08-25--2026-02-23)               100 000
                                                                      ------------
SUM                                                                        123 146