Cash Flow Report January 2014

From HackRVA
Revision as of 23:59, 23 May 2014 by Ranthalion (talk | contribs) (Created page with "<div class=WordSection1> <table class=MsoNormalTable border=1 cellspacing=0 cellpadding=0 style='border-collapse:collapse;border:none;mso-border-alt:solid #CCCCCC .75pt; ms...")
(diff) ← Older revision | Latest revision (diff) | Newer revision → (diff)
Jump to navigation Jump to search

Monthly Cash Flow for January 2014

Summary

Starting Balance

1,076.57

Cash Flow

-401.79

Ending Balance

674.78

Cash Received

Membership Income

1,130.00

Quickbooks Fee Donation

39.95

Total Income

1,169.95

Cash Paid Out

Rent

825.00

Internet

92.25

Insurance

48.66

Water

303.42

Electricity

191.70

Bank Merchant Charges

48.81

Bank Fee

12.00

Quickbooks

39.95

Intuit

9.95

Total Expenses

1,571.74

Member count

52

New Members

9