Cash Flow Report March 2014
Monthly Cash Flow for March 2014 |
|
Summary |
|
Starting Balance |
966.33 |
Cash Flow |
142.22 |
Ending Balance |
1,108.55 |
Cash Received |
|
Membership Income |
1,470.00 |
Workshop Income |
80.00 |
Total Income |
1,550.00 |
Cash Paid Out |
|
Rent |
825.00 |
Internet |
192.20 |
Insurance |
48.67 |
Water |
|
Electricity |
188.54 |
Bank Merchant Charges |
60.07 |
Bank Fee |
18.55 |
Quickbooks |
54.95 |
Keys |
9.85 |
Intuit |
9.95 |
Total Expenses |
1,407.78 |
Member count |
57 |
New Members |
4 |
Bank fees were a bit more than normal this month due to closing the Suntrust account. Jamie is responsible for completing this task any the remaining $6.55 may or may not be transferred to the new account. There was also an unexpected charge of $100 from Comcast for a technical service call. Martes stated that we should not have been charged for that and is following up with Comcast for a credit.
The March Soldering workshop was a great success. In addition to the $80 listed on this report, $60 was paid by credit card which will appear on next month's cash flow report.
Not shown on this report is the quarterly water bill, which totaled $154.56. This will also appear on next month's cash flow report.
Essex Family Group has updated the rental agreement from $825/month to $850/month based on the federal CPI (inflation).