August ‘09 WFPA Board Meeting
Treasurer’s Report
Current Accounts Summary:
| Last Month | This Month |
Change |
|
Checking
|
$13,722 |
$(4,594) |
$(18,316) |
|
Savings |
$137,270 |
$140,077 |
$2,807 |
|
Total |
$150,992 |
$135,483 |
$(15,509) |
Monthly/YTD P&L: YTD July '09 YTD July '08 July '09 July "08 2 mos. 2 mos. Total
Revenues $14,286 $4,155 $38,277 $26,746 Total
Expenses $30,816 $103,796 $52,116 $116,043 Net
Income -$16,531 -$99,641 -$13,839 -$89,297
Notes:
1) July 2009 and YTD actuals include
extraordinary income/expenses related to the 2009 Arts and Crafts Fair with
WVFD which includes a $9,545 accrual for the anticipated profit split to WVFD
for the event. Netting both out would
result in revenues of $4,186, expenses
of $17,481 and net profit of $ (13,295) for July 2009 and $22,242 in revenues,
$30,675 in expenses and net profit of $(8,433) on a YTD basis. July EOM book OD covered with a MMA transfer
of $10,000 on
2) July 2008 expenses included $94,749
charge for the remaining balance of a purchased fire truck and YTD actuals
included Walker Day’s net income of $6,707.
Netting out the fire truck expenses would have resulted in a net profit
for the month of $(4,891) and YTD of $5,452.
Fire truck expense in process of being capitalized with a reversing
entry to historic financials.
Income:
WFA Arts
& Crafts Fair $ 10,099 $3,534
in raffle and water sales
Donations $ 1,604
Merchandise
Sales $ 1.028
Pancake
Breakfast $ 1,135
Yard
Sale/Picnic/Other $ 420
Total $ 14,286
Expenses:
Arts and
Crafts Expenses $ 18,883 Incl.
$9,545 accrual for WVFD profit spilt
Equip &
Repairs $ 2,804 P-83 brakes and deferred maintenance
Legal
Services $ 1,995
District
Expense $ 1,403 Legal
Payroll $ 2,893 Severity payroll and taxes
Merchandise $ 1,125 Hoodies
and l/s T’s
Office
equipment/supplies $ 503 Polycom
system-$460
Utilities
& Communications $ 882 Qwest -$103, APS-$127, Comm., $652
Other $ 328
Total
Expenses $ 30,816
Other
Financial Activities:
WFPA/WVFD
Arts and Crafts Fair a big success, thanks to all the volunteers and and the
special efforts of the Arts and Crafts Committee who planned and managed a fun,
safe and profitable event!
Financial
Audit for ’08-’09 fiscal year completed in July, committee report presented. Entries to capitalize the purchase of the new
fire truck in process.
Federal tax
return in process of completion by Joyce Hyman.
Budget for FY
’09 not completed, reset for September 12th.