[Lnc-business] July End-of-Month Financial Reports
Tim Hagan
tim.hagan at lp.org
Mon Sep 2 16:28:54 EDT 2019
The July End-of-Month Financial Reports are attached.
The reserve was at $82,593, which is above the target reserve of
$57,225.
Support and Revenue was $26,395 under budget for the year to date.
Cost of Support & Revenue and Program Expenses were both under budget by
$58,706 and $42,612 respectfully.
These then gave us a surplus so far this year of $74,178.
A Convention Revenue & Liability Report was added and is on page 12. The
first item on this, Deferred Convention Revenue, is revenue from the
sales of packages, tables, and Welcome Committee. After subtracting
$7,674 for convention expenses already paid, we get the net deferred
convention revenue, which was $93,279. Of this amount, $45,000 has been
placed into the restricted checking account. The balances in each
checking account is shown on the top of page 10.
In addition, we have convention-related revenue of $28,523.92, primarily
from the Convention Theme Contest.
---
Tim Hagan
Treasurer, Libertarian National Committee
-------------- next part --------------
A non-text attachment was scrubbed...
Name: 2019-07-Staff-End-of-Month-Reports-Draft-1.pdf
Type: application/pdf
Size: 193154 bytes
Desc: not available
URL: <http://hq.lp.org/pipermail/lnc-business/attachments/20190902/95453016/attachment-0003.pdf>
More information about the Lnc-business
mailing list