Regular Member Meeting 2011 04 12: Difference between revisions
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=== Treasurer's Report === | === Treasurer's Report === | ||
<pre> | |||
Membership: | |||
41 members payed via PalPal | |||
Income: | |||
Paypal 41 members: $1977.75 | |||
Paypal 2 Friends: $25.36 | |||
Paypal Donation: $9.41 | |||
=========================== | |||
Total $2012.52 | |||
One time $900 donation earmarked for a specific project and therefore not counted as income. | |||
Note: $250 in one-time donations collected in March have been deposited and will post to the April accounting cycle | |||
Expenses: | |||
DATE Description AMOUNT($) | |||
03/17 Rent / Check #1006 2,526.00 | |||
03/02 LINODE.COM hosting 37.45 | |||
03/16 State Farm 68.58 | |||
03/29 Quickbooks 10.55 | |||
======================================== | |||
$2642.58 | |||
Surplus / Loss: | |||
Loss of $630 for March | |||
Financial status: | |||
As of April 8th (end of rent cycle), HacDC had approximately $3800 in cash reserves. | |||
Given our current burn rate, we have 1-2 months before we do not have cash reserves required to move to a cheaper lease assuming $500 monthly deficit: | |||
-- Cash on-hand required to move: expenses of $3000 [1 month overlap of rent: $2000, moving expenses: $500, exiting monthly loss: $500) | |||
</pre> | |||
=== Secretary's Report === | === Secretary's Report === |
Revision as of 23:34, 12 April 2011
Note: This page serves as the 2011-04-12 Member Meeting's agenda (before the meeting) and minutes (after the meeting).
Time and Location
April 12, 2011
Meeting called to order at _____ by _____.
Members Present:
Others Present:
Quorum met?
Approval of Previous Meeting's Minutes
Regular Member Meeting 2011 03 08
Director Reports
President's Report
Vice President's Report
Treasurer's Report
Membership: 41 members payed via PalPal Income: Paypal 41 members: $1977.75 Paypal 2 Friends: $25.36 Paypal Donation: $9.41 =========================== Total $2012.52 One time $900 donation earmarked for a specific project and therefore not counted as income. Note: $250 in one-time donations collected in March have been deposited and will post to the April accounting cycle Expenses: DATE Description AMOUNT($) 03/17 Rent / Check #1006 2,526.00 03/02 LINODE.COM hosting 37.45 03/16 State Farm 68.58 03/29 Quickbooks 10.55 ======================================== $2642.58 Surplus / Loss: Loss of $630 for March Financial status: As of April 8th (end of rent cycle), HacDC had approximately $3800 in cash reserves. Given our current burn rate, we have 1-2 months before we do not have cash reserves required to move to a cheaper lease assuming $500 monthly deficit: -- Cash on-hand required to move: expenses of $3000 [1 month overlap of rent: $2000, moving expenses: $500, exiting monthly loss: $500)
Secretary's Report
Director-at-Large Reports
Will G
Brad B
Member Reports
Old Business
New Business
- Possible Benefit at Haydee's
- Dates: April 26th, 27th, or 28th (Tues, Wed, Thurs)
- 25%-30% of sales depending on how many people we bring
- Located on Mt. Pleasant St., (close to Metro, local business, etc.)
- Delicious (and reasonably priced) food and beer!
- http://haydees.us/
New Members
Space Discussion
What are we going to do?
Adjournment
Adjourned at ____