PDA

View Full Version : Annual Treasurer's Report 3/31/19



Flyfishingcachers
04-17-2019, 08:45 AM
CHECKING ACCOUNT





Beginning Balance April1, 2018
$3,827.93










Date
Description
Debit
Credit
Description Details


INCOME






4/28/2018
DEPOSIT

$127.00
Merchandise sold - Annual Event


7/27/2018
DEPOSIT

$30.00
Merchandise sold


1/18/2019
DEPOSIT

$242.50
Merchandise Sold - Paris Event + others



TOTAL INCOME

$399.50










EXPENSES






4/28/2018
CHECK #1277
$171.03

Harp's Grocery - Chicken


4/28/2018
CHECK #1278
$19.01

Sue Hayes - Reimbursement


4/28/2018
CHECK #1279
$54.89

Susan Smith-Dodson - Reimbursement


6/7/2018

$120.00

Transfer monies to Pay Pal Account to cover website expense



TOTAL EXPENSES
$364.93











Ending Balance March 31, 2019

$3,862.50
























PAYPAL






Beginning Balance April 1, 2018
$62.14










INCOME






6/7/2018
Transferred from Bank Account

$120.00
Transferred monies to cover website expense


3/6/2019
Coin Processed

$15.00
Coin Sold



TOTAL INCOME

$135.00










EXPENSES






6/19/2018
In Motion Hosting
$161.08

Hosting Website Expense


3/6/2019
Fees
$3.40

Fees



TOTAL EXPENSES
$164.48











Ending Balance March 31, 2019

$32.66










PATHTAG CASH





Beginning Balance April1, 2018

$100.00










INCOME






1/5/2019
Give Back Credit

$5.00
Arkansas Path Tag Backs


3/19/19
Give Back Credit

$5.00
Arkansas Path Tag Backs



TOTAL INCOME

$10.00










EXPENSES







None
$0.00

Balance Applied to purchase Path Tags



TOTAL EXPENSES
$0.00











Ending Balance March 31, 2019

$110.00










TOTAL CHECKING, PAYPAL, and Pathtag Cash

$4,005.16






















Submitted by Sharon Simmons Treasurer 3/31/19