Treasury/Reports/2006.07

From Sekhet-Maat Lodge

Contents

Temple Fund

Income

Facility Rental
$60.00
Jar donations at events
$133.00
Pledges
$249.00
Local Dues
$405.00
Reimbursement
$221.82
Sales
$77.30

Total Income: $1,146.12

Expenses

NW Natural Gas
$8.29
PGE Electric
$41.55
Qwest Telephone
$41.38
Rent
$1,040.00

Subtotal: Building Expenses: $1,131.22

OLBS Fee
$14.95
Paypal
$37.69

Subtotal: Office Expenses: $52.69

Total Expense: $1,183.91

Net Income

Net Income: $-37.79

General Fund

Income

Initiation fees
$731.00
National Dues Income
$792.00

Total Income: $1523.00

Expenses

Total Expense: 0.00

Net Income

Net Income: $1523.00

Library Fund

The Library Fund, as usual, doesn't see much activity.

Income

0.

Expenses

0.

Net Income

0.

Sales & Events Fund

The large loss in this fund this month is attributed to some temple improvements, our quarterly purchase of alcohol and a large vending book payment held over from a previous quarter.

Income

Jar Donations
$23.00
Sales
$154.00

Total Income: $177.00

Expenses

Total Expense: $0.00

Net Income

Net Income: $177.00


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