Treasury/Reports/2006.11
From Sekhet-Maat Lodge
Contents |
Temple Fund
Temple fund took a loss this month. This is partially due to some folks paying ahead in October and November.
Our utilities were up as well with the cold weather coming.
Income
- Donations
- $78.00
- Local Dues
- $395.00
- Pledges
- $65.00
Total Income: $538.00
Expenses
- PayPal Fees
- $8.92
- Rent
- $1040.00
- PGE Electric
- $62.13
- NW Natural Gas
- $51.71
Total: Expenses: $1,246.00
Net Income
Net Income: $-708.13
Initiaton Fund
Income for this expense was taken in earlier months for initiation dues and fees.
Income
0.
Expenses
- USGL Dues Payment
- $345.00
Net Income
-$345.00
Library Fund
The Library Fund, as usual, doesn't see much activity.
Income
0.
Expenses
0.
Net Income
0.
Sales & Events Fund
Income
- Alcohol
- $111.00
Total Income: $111.00
Expenses
- Food and Non Alcohol Drink
- $50.00
Total Expense: $50.00
Net Income
Net Income: $61.00
Temple Improvement Fund
This fund is for our use to improve our temple equipment. Right now we are looking to afford some temple beautification projects, such as painting, new window treatments etc. We were pretty close to this last month, when our stove went out, and so we took a hit with that.
If you can donate to this fund, please do!
Income
- Donations
- $128.00
Total Income: $128.00
Expenses
- Window Treatment Fabric and Supplies
- $165.00
- Stove
- $321.90
Total: Expenses: $486.90
Net Income
Net Income: $-358.90
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