Budget and Funds Department

The primary task of the Budget and Funds Department is creation of fiscal policy, public finance management and improvement of the budgetary process. In this regard, the basic responsibility of the Budget and Funds Department is preparation of the Draft Budget of the Republic of Macedonia as a whole and its submission to the Government.

In addition, Budget and Funds Department performs other important matters pertaining to:

  • Laws governing the procedure for preparation, adoption and execution of the Budget of the Republic of Macedonia
  • Medium-Term Fiscal Strategy (three years) that outlines the guidelines and objectives of the fiscal policy and the amounts of the major categories of estimated revenues and appropriations,
  • Budget Circular that includes instructions and guidance for preparation of  budget requests ,
  • Annual Report of the Budget of the Republic of Macedonia, which presents the realized revenues and expenditures of all budget accounts, compared with the projected revenues and approved expenditures,
  • Opinions, information and reports on programs, materials and decisions concerning the Budget and Budget policy,
  • Analysis of budget revenues and expenditures and studying the effects of the proposed legislation in the area of budgetary policy,
  • Approval of budget relocations and expansions of budget users pursuant to the principles of efficiency and effectiveness,
  • Monitoring of the payment of salaries by budget users,
  • Analysis and information on public investment,
  • Processing and analysis of revenues and expenditures of local authorities, as well as preparation of legislation for financing Local Self-Government Units,
  • Monitoring of the performance of public enterprises, agencies and trading companies established by the state regarding the proper use of their funds,
  • Collecting, recording and publishing reported data by the entities pertaining to their undue liabilities and arrears (Electronic System for Reporting and Recording Liabilities),
  • Systematically examining expenditures and operationalizing high-level savings options, by carrying out a Spending Review.

Contact persons

State consular

Anica Ivanoska-Strezovski
office: ++389 2 3255 519
e-mail: anica.ivanoska@finance.gov.mk

Tanja Tripunova
office: ++389 2 3255 518

Head of department

Floreta Hasani
office: ++389 2 3255 405
e-mail: floreta.hasani@finance.gov.mk


Budget and Budget Policy Unit
Tose Panovski
office: ++389 2 3255 520
e-mail: tose.panovski@finance.gov.mk

Unit for Funds’ Budgets
Aleksandra Altievska Angjelik
office: ++389 2 3255 548
e-mail: aleksandra.altievska@finance.gov.mk

Unit for reporting and recording obligations and analyses
Festim Alimi
office: ++389 2 3255 526
e-mail: festim.alimi@finance.gov.mk

Unit for program budgeting
Lidija Gjozinska
office: ++389 2 3255 763
e-mail: lidija.gjozinska@finance.gov.mk

Unit for improving medium-term budgeting
Keti Ilievska
office: ++389 2 3255 527
e-mail: keti.velkova@finance.gov.mk

Unit for Spending review
Olivera Markoska Ivanovski
office: ++389 2 3255 522
e-mail: olivera.markoska@finance.gov.mk

Unit for Budgets of Local Government Units
Radmila Sandeva-Krstova
office: ++389 2 3255 536
e-mail: radmila.sandeva@finance.gov.mk

Unit for Public Enterprises and Agencies
Vesna Kapracovska
office: ++389 2 3255 550
e-mail: vesna.krpacovska@finance.gov.mk

Unit for control of the payment of salaries of the budget users
Isak Sinani
office: ++389 2 3255 554
e-mail: isak.sinani@finance.gov.mk

Оваа вест е достапна и на: Macedonian Albanian

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