2015 Budget Vote/FY2015 Master Budget: Difference between revisions

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[[Category:Budget]]
[[2015 Budget Vote|Back to 2015 Budget Vote]]
[[2015 Budget Vote|Back to 2015 Budget Vote]]
== Pumping Station One Master Budget ==
== Pumping Station One Master Budget ==
Line 18: Line 19:
|'''Total'''
|'''Total'''
|----
|----
|'''Account Transfers'''
|'''Savings Goals'''
| -$19,100.00
| -$10,600.00
|
|
|
|
Line 31: Line 32:
|
|
|
|
| -$19,100.00
| -$10,600.00
|----
|----
|'''Advertising'''
|'''Advertising'''
Line 100: Line 101:
| -$920.00
| -$920.00
| -$1,400.00
| -$1,400.00
| -$400.00
| -$900.00
| -$1,046.00
| -$1,046.00
| -$1,309.00
| -$1,309.00
| -$450.00
| -$450.00
| -$1,900.00
| -$1,900.00
| -$29,400.00
| -$35,900.00
| -$39,875.00
| -$46,875.00
|----
|----
|'''Furniture'''
|'''Furniture'''
Line 168: Line 169:
| -$1,200.00
| -$1,200.00
|----
|----
|'''Members Dues'''
|'''Member Dues'''
| $186,960.00
| $186,960.00
|
|
Line 185: Line 186:
|'''Office Expenses'''
|'''Office Expenses'''
| -$100.00
| -$100.00
| -$4,440.00
| -$5,189.40
|
|
|
|
Line 196: Line 197:
|
|
|
|
| -$4,918.00
| -$5,667.40
|----
|----
|'''Professional Services'''
|'''Professional Services'''
Line 250: Line 251:
| -$250.00
| -$250.00
| -$1,000.00
| -$1,000.00
| -$300.00
| -$600.00
| -$300.00
| -$300.00
| -$152.00
| -$152.00
Line 256: Line 257:
| -$500.00
| -$500.00
|
|
| -$5,482.00
| -$5,782.00
|----
|----
|'''Safety Equipment'''
|'''Safety Equipment'''
Line 265: Line 266:
| -$40.00
| -$40.00
| -$175.00
| -$175.00
| -$450.00
| -$650.00
|
|
| -$705.00
| -$705.00
Line 271: Line 272:
| -$100.00
| -$100.00
|
|
| -$1,720.00
| -$1,920.00
|----
|----
|'''Supplies'''
|'''Supplies'''
Line 295: Line 296:
| -$1,460.00
| -$1,460.00
| -$720.00
| -$720.00
| -$550.00
| -$730.00
| -$121.00
| -$121.00
| -$340.00
| -$340.00
Line 301: Line 302:
| -$602.00
| -$602.00
|
|
| -$3,813.00
| -$3,993.00
|----
|----
|'''Utilities'''
|'''Utilities'''
Line 319: Line 320:
|----
|----
|'''Total'''
|'''Total'''
| $80,318.36
| $88,818.36
| -$4,940.00
| -$5,689.40
| -$6,731.00
| -$6,731.00
| -$6,900.00
| -$6,900.00
| -$6,000.00
| -$6,000.00
| -$6,000.00
| -$6,000.00
| -$3,820.00
| -$5,000.00
| -$3,000.00
| -$3,000.00
| -$4,500.00
| -$4,500.00
| -$4,000.00
| -$4,000.00
| -$5,000.00
| -$5,000.00
| -$29,400.00
| -$35,900.00
| $27.36
| $97.96
|}
|}


'''Left Over''': $27.36
'''Left Over''': $97.96
 
== Current Account Balances ==
{|class=wikitable
|'''Bank'''
|'''Account Name'''
|'''Account Balance'''
|'''Bank Total'''
|----
|rowspan="2"|'''Chase'''
|'''Checking
|$6,439.86
|rowspan="2"|'''$57,056.57'''
|----
|'''Savings'''
|$50,616.71
|----
|'''Paypal'''
|'''PayPal'''
|$5,095.47
|'''$5,095.47'''
|----
|rowspan="9"|'''Pex Cards'''
|'''General'''
|$98.36
|rowspan="9"|'''$1,648.68'''
|----
|'''Kitchen'''
|$0.00
|----
|'''Hot Metals'''
|$326.74
|----
|'''CNC'''
|$0.00
|----
|'''Arts'''
|$118.35
|----
|'''Tool Cage'''
|$348.34
|----
|'''Wood Shop'''
|$53.00
|----
|'''Cold Metals'''
|$370.72
|----
|'''Electronics'''
|$333.17
|----
|'''Total'''
|
|
|'''$63,800.72'''
|----
|}


== Cash on Hand Requirements ==
== Cash on Hand Requirements ==
Line 406: Line 351:
|'''Taxes'''
|'''Taxes'''
|$10,000.00
|$10,000.00
|----
|'''Two Months Full Op-ex'''
|$14,546.00
|----
|----
|'''Total'''
|'''Total'''
|$75,724.70
|$61,178.70
|----
|}
 
=== Deficit ===
 
{|class=wikitable
|'''Bank'''
|'''Account'''
|'''Amount'''
|----
|rowspan=2|'''Chase'''
|'''Checking'''
|$8,106.14
|----
|'''Savings'''
|$10,561.99
|----
|----
|}
|}

Latest revision as of 13:09, 10 April 2018

Back to 2015 Budget Vote

Pumping Station One Master Budget

General & Administrative Office Of The CTO General Area CNC Electronics Cold Metals Hot Metals Kitchen Tool Cage Arts & Crafts Woodshop Votes Total
Savings Goals -$10,600.00 -$10,600.00
Advertising -$1,000.00 -$144.00 -$1,144.00
Bank Charges -$7,304.16 -$7,304.16
Disposal Fees -$100.00 -$100.00
Education -$350.00 -$400.00 -$360.00 -$20.00 -$350.00 -$550.00 -$2,030.00
Equipment -$550.00 -$2,500.00 -$920.00 -$1,400.00 -$900.00 -$1,046.00 -$1,309.00 -$450.00 -$1,900.00 -$35,900.00 -$46,875.00
Furniture -$300.00 -$100.00 -$700.00 -$200.00 -$634.00 -$700.00 -$2,634.00
Insurance -$2,686.00 -$2,686.00
Job Materials -$1,700.00 -$600.00 -$250.00 -$110.00 -$600.00 -$3,260.00
Meals & Entertainment -$1,200.00 -$1,200.00
Member Dues $186,960.00 $186,960.00
Office Expenses -$100.00 -$5,189.40 -$378.00 -$5,667.40
Professional Services -$5,000.00 -$5,000.00
Regs., Licenses, and Fees $0.00
Rent -$47,787.48 -$47,787.48
Repair & Maintenance -$500.00 -$1,020.00 -$1,200.00 -$250.00 -$1,000.00 -$600.00 -$300.00 -$152.00 -$260.00 -$500.00 -$5,782.00
Safety Equipment -$250.00 -$40.00 -$175.00 -$650.00 -$705.00 -$100.00 -$1,920.00
Supplies -$2,911.00 -$2,730.00 -$3,330.00 -$1,005.00 -$1,560.00 -$1,119.00 -$1,250.00 -$1,862.00 -$648.00 -$16,415.00
Tools -$20.00 -$1,460.00 -$720.00 -$730.00 -$121.00 -$340.00 -$602.00 -$3,993.00
Utilities -$22,464.00 -$22,464.00
Total $88,818.36 -$5,689.40 -$6,731.00 -$6,900.00 -$6,000.00 -$6,000.00 -$5,000.00 -$3,000.00 -$4,500.00 -$4,000.00 -$5,000.00 -$35,900.00 $97.96

Left Over: $97.96

Cash on Hand Requirements

Name Amount
Op-ex Emergency Fund $46,178.70
Moving $5,000.00
Taxes $10,000.00
Total $61,178.70