Note: This report was submitted late and reflects our position on the date of the report (Tuesday)
Financial Statements
Statement of Financial Position
Assets
|
Unrestricted
|
Restricted
|
Total
|
CURRENT ASSETS
|
|
|
|
Cash (Checking)
|
$950.91
|
$82.43
|
$1033.44
|
Cash (PayPal)
|
$1,032.61
|
|
$1,032.61
|
Cash (Cash Box)
|
$610.00
|
|
$610.00
|
|
|
|
|
OTHER ASSETS
|
|
|
|
Security Deposit
|
$850.00
|
|
$850.00
|
Total Assets
|
$3,443.53
|
$82.43
|
$3,525.95
|
Liabilities and Net Assets
|
Unrestricted
|
Restricted
|
Total
|
CURRENT LIABILITIES
|
|
|
|
Prepaid Dues
|
$250.00
|
|
$250.00
|
Total Liabilities
|
$250.00
|
|
$250.00
|
NET ASSETS
|
|
|
|
Total Net Assets
|
$3,193.52
|
$82.43
|
$3,275.95
|
Statement of Financial Position
|
Unrestricted
|
Restricted
|
Total
|
REVENUE AND OTHER SUPPORT
|
|
|
|
Member Dues
|
$3,200.00
|
|
$3,200.00
|
Donation Income
|
$3,022.23
|
$82.43
|
$3,104.66
|
Incorporators Contributions
|
$1,750.00
|
|
$1,750.00
|
Other Income
|
$3.75
|
|
$3.75
|
Total Revenue and Other Support
|
$7,975.98
|
$82.43
|
$8,058.41
|
EXPENSES (Supporting)
|
|
|
|
Rent
|
$2,550.00
|
|
$2,550.00
|
Insurance
|
$0.00
|
|
$0.00
|
Network & Hosting
|
$122.51
|
|
$122.51
|
Equipment
|
$1,003.91
|
|
$1,003.91
|
Supplies
|
$59.16
|
|
$59.16
|
Transportation (Supplies)
|
$204.03
|
|
$204.03
|
Volunteer Meals
|
$50.00
|
|
$50.00
|
Incorporation Costs
|
$84.66
|
|
$84.66
|
Sponsorships
|
$500.00
|
|
$500.00
|
Bank Fees
|
$208.19
|
|
$208.19
|
Total Expenses
|
$4,782.46
|
|
$4,782.46
|
Increase (Decrease) in Net Assets
|
$3,193.52
|
$82.43
|
$3,275.95
|