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May 14

Jan - May 14

Ordinary Income/Expense

Income

40000 · Donations

-600.00

-600.00

40100 · Dues

40110 · Active

20.00

260.00

Total 40100 · Dues

20.00

260.00

41000 · Workshops

41010 · Attendee

0.00

3,330.00

41020 · Vendor\Exhibitor

0.00

1,500.00

Total 41000 · Workshops

0.00

4,830.00

45000 · Investments

0.00

0.06

Total Income

-580.00

4,490.06

Gross Profit

-580.00

4,490.06

Expense

66300 · Meetings

66320 · Meals

0.00

123.04

Total 66300 · Meetings

0.00

123.04

67000 · Workshop Expense

67020 · Catering Expense

0.00

15,337.57

67030 · Equipment Rental

0.00

3,583.57

67070 · Speakers Fees

0.00

450.00

67080 · Awards

0.00

128.40

67090 · Refunds

0.00

665.00

Total 67000 · Workshop Expense

0.00

20,164.54

Total Expense

0.00

20,287.58

Net Ordinary Income

-580.00

-15,797.52

Net Income

-580.00

-15,797.52

11:04 AM

OALSS

05/31/14

Profit & Loss YTD Comparison

Cash Basis

May 2014

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