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Budget

56 documents · 2022 — 2026

2026

20 documents
  1. Outstanding Fees

    The report dated 27/02/2026 lists all outstanding fees for the period 01/01/2000 to 31/12/2025.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  2. Budget Breakdown — B1

    Adenjo Gestión SL ENESSVFRAR G T D A M
  3. Budget Breakdown — B2

    Adenjo Gestión SL ENESSVFRAR G T D A M
  4. Budget Breakdown — B3.1

    The budget dated 31 December 2026 (B3.1) details construction and demolition works for the Giralda building, covering first‑floor access areas and garage level.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  5. Budget Breakdown — B3.2

    The document is a budget dated 02 February 2026.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  6. Annex C — Emergency Repairs (V1)

    The document is a budget for emergency repairs and construction projects for the Señorío de Aloha community, dated 2026-12-31.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  7. Annex C — Emergency Repairs

    Annex C dated 31 December 2026 presents the emergency repair budget for the Comunidad de Propietarios Señorío de Aloha.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  8. Equitron Quote — Giralda, February 2026

    The document is a budget titled "Equitron Quote — Giralda, February 2026" dated 31 December 2026.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  9. Outstanding Fees — February 2026

    The document titled "Outstanding Fees — February 2026" is a budget‑type report dated 27 February 2026.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  10. Partial Budget Nº1 — Giralda

    The document is the Partial Budget No. 1 for the Giralda project dated 31 December 2026.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  11. Partial Budget Nº1 — Giralda (detail)

    The document is a partial budget (detail) for the Giralda project dated 31 December 2026, with a total estimated cost of €399,912.55.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  12. Partial Budget Nº2 — Triana

    The document is a partial budget (No. 2) for the Triana project dated 31 December 2026, with a total amount of €405,971.33.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  13. Partial Budget Nº3 — Alhambra

    The document is the Partial Budget No. 3 for the Alhambra project, dated 31 December 2026.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  14. Partial Budget Nº3 — Alhambra (detail)

    The document is a partial budget (No. 3) for the Alhambra project dated 31‑12‑2026, with a total amount of €358,664.35.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  15. Partial Budget Nº4 — Doñana

    The document is a partial budget (No. 4) for the Doñana project dated 31 December 2026.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  16. Partial Budget Nº4 — Doñana (detail)

    The document is a partial budget No 4 for the Doñana project dated 31 December 2026.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  17. Partial Budget Nº5 — Mezquita

    The document is Partial Budget No. 5 for the Mezquita project, dated 31 December 2026.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  18. Partial Budget Nº5 — Mezquita (detail)

    The document is the Partial Budget No. 5 for the Mezquita project, dated 31 December 2026.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  19. Rehabilitation Budget — Giralda

    Adenjo Gestión SL ENESSVFRAR G T D A M
  20. Budget Breakdown

    The document dated 31 December 2026 presents the proposed budget for the 2023 fiscal year.

    Adenjo Gestión SL ENESSVFRAR G T D A M

2025

6 documents
  1. Balance Sheet — 2025 (V1)

    The balance sheet as of 31 December 2025 shows total assets of €377 857,49 and total liabilities plus community fund of the same amount.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  2. Budget — 2025 (V1)

    The 2025 ordinary expenses budget for the Community of Owners Señorío de Aloha totals €763,647.80.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  3. Proposed Budget — 2025

    The proposed budget for fiscal year 2025 totals €763,647.79, financed by community fees.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  4. Rehabilitation Budget Nº146 — 2025

    Adenjo Gestión SL ENESSVFRAR G T D A M
  5. Budget — 2025

    The 2025 budget for the Community of Owners Señorío de Aloha was approved on 21 March 2025.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  6. Fee Notes — 2025

    The 2025 balance sheet shows total assets of €377,857.49 and total liabilities of €158,635.88, resulting in a community fund of €219,221.61, up from €204,654.81 in 2024.

    Adenjo Gestión SL ENESSVFRAR G T D A M

2024

10 documents
  1. Outstanding Fees

    The document dated 15/04/2024 lists outstanding community fee receivables up to 31/12/2023.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  2. Income & Expenditure — 2024

    The 2024 budget for the community "Señorio de Aloha" covers the period 01/01/2024 – 31/12/2024.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  3. Financial Commentary — 2024

    The Senorio de Aloha financial report for 2023 shows a surplus of €63k

    Adenjo Gestión SL ENESSVFRAR G T D A M
  4. Proposed Budget — 2024

    The proposed 2024 budget for the community of Señorío de Aloha totals €763,647.79.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  5. Summary of Accounts — 2024

    The document titled "Summary of Accounts — 2024" presents the 2024 income and expenditure and balance sheet for Senorio de Aloha as of 31 December 2023.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  6. Balance Sheet — 2024

    The document is a Balance Sheet for the fiscal year 2024 covering the period 01/01/2024 to 31/12/2024.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  7. December Accounts — 2024

    The December 31, 2024 accounts show total community fee income of €783,139, an increase of €19,491 over the budget and €47,236 above 2023.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  8. Income & Expenditure — 2024

    The 2024 budget for C.O. Señorío de Aloha shows total income of €783,138.64, primarily from ordinary fees (€694,949.60) and annual park/storage fees (€68,698.10).

    Adenjo Gestión SL ENESSVFRAR G T D A M
  9. Financial Report — 2024

    The 2024 Income and Expenditure Account shows a surplus of €93,000 assuming 100% fee collection.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  10. Income & Expenditure — 2024

    The 2024 Income & Expenditure summary for Senorio de Aloha covers the period ending 31 December 2024.

    Adenjo Gestión SL ENESSVFRAR G T D A M

2023

14 documents
  1. Budget Development — 2023

    The 2023 budget totals €713.173,41, with €592.137,02 spent, leaving a remainder of €121.036,39 (83.03% of the budget).

    Adenjo Gestión SL ENESSVFRAR G T D A M
  2. Balance Sheet — 2023

    The balance sheet is for the period from 01/01/2022 to 31/12/2022

    Adenjo Gestión SL ENESSVFRAR G T D A M
  3. Income & Expenditure — 2023

    The 2022 budget for C.P. Señorío de Aloha shows total income of €1,170,763.17 and total expenses of €959,007.70.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  4. Proposed Budget — 2023

    The document is the proposed budget for the community for the fiscal year 2023, dated 31 December 2023.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  5. Accounts — 2023

    The 2023 financial report notes a 15% increase in owner fees effective from Q3 2022 and an extraordinary levy of €500,000 approved to fund major repair projects.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  6. Summary of Accounts — 2023

    The document titled "Summary of Accounts — 2023" is a budget summary dated 31 December 2023.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  7. Balance Sheet — 2023

    The balance sheet for C.P. Señorío de Aloha covers the fiscal year 1 January 2023 to 31 December 2023.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  8. Budget — 2023

    The 2023 budget totals €713,173.41, financed by community fees €648,339.46 and a reserve fund contribution of €64,833.95.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  9. Budget Development — 2023

    The 2023 budget totals €713,173.41, with €592,137.02 spent, leaving a remainder of €121,036.39 (83.03%).

    Adenjo Gestión SL ENESSVFRAR G T D A M
  10. Income & Expenditure — 2023

    The 2023 budget for C.O. Señorío de Aloha covers the period 01/01/2023‑31/12/2023 and reports total income of €735,902.64.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  11. Financial Commentary — 2023

    The Financial Commentary for 2023 was presented to the 2023 AGM of the Señorío de Aloha community.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  12. Financial Report — 2023

    The 2023 financial report for Senorio de Aloha notes that the community relied on credit lines and that more than 10% of owners were delinquent before a 15% quota increase in Q3 2022 and an extraordinary levy of €500,000 were approved.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  13. Outstanding Fees — December 2023

    The document dated 26/12/2023 lists outstanding fees for properties managed by ADENJO GESTION, S.L., covering receivable periods from 01/01/1900 to 30/09/2023.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  14. Outstanding Fees — March 2023

    The document titled "Outstanding Fees — March 2023" is a budget report dated 31/12/2023 that lists pending receipts up to 31/12/2022 as of 21/03/2023.

    Adenjo Gestión SL ENESSVFRAR G T D A M

2022

6 documents
  1. Balance Sheet — 2022

    The balance sheet covers the period 01/01/2022 to 31/12/2022 and reports total assets of €861,487.08.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  2. Budget Development — 2022

    The 2022 budget totals €713,171.80, with community fees financing €648,338.00.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  3. Budget vs Actual — 2022

    The 2022 budget document reports a total planned budget of €713,171.80, with actual expenses of €685,761.27, leaving a surplus of €27,410.53 before income adjustments.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  4. Income & Expenditure — 2022

    The 2022 budget for C.C.P. Señorío de Aloha shows total income of €1.170.763,17, primarily from an extraordinary fee of €250.001,55, an annual fee of €60.670,64, and ordinary fees totaling €605.990,08.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  5. Income & Expenditure — 2022

    The 2022 Income & Expenditure statement for Senorio de Aloha shows total community fees of €670,958.

    Adenjo Gestión SL ENESSVFRAR G T D A M
  6. Cashflow Statement — 2022

    The cashflow statement covers the period 01/01/2022‑31/12/2022 for the community "Señorio de Aloha".

    Adenjo Gestión SL ENESSVFRAR G T D A M