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Balance Sheet | Financial Report
2003-2004 RMNR Balance Sheet
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Cash Assets as of Nov. 1, 2003
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| Savings Account - American Bank |
$38,891.14
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| Checking Account - American Bank |
$1,018.15
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| Petty Cash |
$12.82 |
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| Total |
$39,922.11 |
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Income Nov 1, 2003 - Oct 31, 2004
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| Collect 2003 Bad Check |
$210.00
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| Interest Income |
$284.21
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| 2004 RMNR Seed Money re-imbursed |
$6,000.00
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| 2004 RMNR Income |
$4,957.69 |
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| Waste Management Refund 2004 RMNR |
$28.83 |
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| Total Income |
$11,480.73 |
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| Total Assets and Income
Expenses Nov. 1, 2003 - Oct. 31, 2004
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$51,402.84 |
| Insurance and Bonding |
$547.00
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| Web Site Maintenance |
$688.66
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| Brian Neumann - Mailing List Maintenance |
$330.92 |
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| Equipment - Tentage |
$1,338.00
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| Income Tax Preparation |
$180.00
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| Terry Maroney - Postage and Printing |
$42.32 |
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| Ron Botten - Postage, Phone, Travel, etc. |
$68.02 |
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| Petty Cash - Misc |
$9.00 |
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$2,656.92 |
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2004 RMNR Rendezvous
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| Seed Money |
$7,000.00
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| Mailbox |
$70.00
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$7,070.00 |
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Total Expenses
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$10,273.92 |
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Net Cash Assets November 1, 2004
Cash Assets November 1, 2004
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$41,128.92 |
| Savings Account - American Bank |
$39,371.87 |
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| Checking Account - American Bank |
$1,753.23 |
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Petty Cash
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$3.82 |
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$41,128.92 |
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$0.00 |
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