Financials 2014 April: Difference between revisions
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Line 38: | Line 38: | ||
===Outgoings=== | ===Outgoings=== | ||
BizSpace: £1, | BizSpace: £1,366.57 | ||
Talk talk: | Talk talk: £ | ||
Insurance: £66. | Insurance: £66.52 | ||
Other: | Other: £2,195.47 | ||
===Income=== | ===Income=== | ||
Membership dues: £2, | Membership dues: £2,201.21 | ||
Petty Cash Deposits: | Petty Cash Deposits: £563 | ||
Workshops: | Workshops: £188.3 | ||
Donations: £ | Donations: £ | ||
Line 57: | Line 57: | ||
Events: £ | Events: £ | ||
Pledges: | Pledges: £260 | ||
[[Category: Financials|^Year 3^]] | [[Category: Financials|^Year 3^]] |
Revision as of 19:28, 7 May 2014
A breakdown of our finances for the month of January, 2014.
Quick summary
Start bank balance: £6,542.68
Out: £ 3628.56
In: £3212.51
End: £6,121.63
Charge cards balance: £600??
Paypal Start: £5.58
Paypal End: £5.58
Cash Start balance: £-
Cash In: £-
Cash Out: £-
Cash End: £-
Members
Start: ?
New: ?
Ex: ?
End: 235?
In/out Breakdown
Outgoings
BizSpace: £1,366.57
Talk talk: £
Insurance: £66.52
Other: £2,195.47
Income
Membership dues: £2,201.21
Petty Cash Deposits: £563
Workshops: £188.3
Donations: £
Events: £
Pledges: £260