1) A year budget was created and approved in April general meeting.
2) Expense categories were reorganized to follow our GNUCash book.
3) Our GGNRA use permit was renegotiated and became bianual.
- Code: Select all
- 2008 Report: October 2007 to September 2008.
 Cash Balances:
 Starting $3,559.21
 Ending $6,479.65
 ------------------------------------------
 Net Change $2,920.44
 Cash on hold:
 Roofing fund $1,000.00
 Technology fund $ 200.00
 ------------------------------------------
 Total on hold $1,200.00
 Income Summary:
 Membership $3,795.00
 Donations:
 Glider Auction $ 385.00
 Stickers $2,957.00
 T-Shirt $ 580.00
 WebCam $ 500.00
 Website $ 600.00
 ----------------------------------
 Total Income $8,817.00
 Expense Summary:
 Administrative:
 Bank fees $ 79.46
 Clubhouse access $ 441.46
 Funston stickers $ 527.96
 GGNRA, use permit $1,000.00
 Office and stamps $ 302.47
 USHPA, site insurance $ 250.00
 Events:
 Events $ 429.25
 Extraordinary expenses:
 Discretionary $ 0.00
 USHPA BOD meeting $ 250.00
 Maintenance:
 site clean-up $ 400.00
 site improvement $ 465.64
 Meetings:
 refreshments $ 825.62
 Utilities:
 DSL $ 202.65
 Electric $ 356.64
 Phone $ 278.75
 Web hosting $ 86.66
 -----------------------------------------------
 Total expenses $5,896.56
 ---------------------------------------------------
 Net Income $2,920.44
 Budget analysis
 2008 Budget compared against actual income:
 Budget Actual income Difference
 Membership: $3,000.00 $3,795.00 $ 795.00
 Donations:
 Glider Auction $ 0.00 $ 385.00 $ 385.00
 Stickers $2,200.00 $2,957.00 $ 757.00
 T-Shirt $ 0.00 $ 580.00 $ 580.00
 WebCam $ 0.00 $ 500.00 $ 500.00
 Website: $ 900.00 $ 600.00 ($ 300.00)
 ------------------------------------------------------------------------
 Total Income $6,100.00 $8,817.00 $2,717.00
 2008 Budget compared against actual expenses:
 
 Budget Actual expense Difference
 Administrative:
 Bank fees $ 0.00 $ 79.46 ($ 79.46)
 Clubhouse access $ 450.00 $ 441.46 $ 8.54
 Funston stickers $ 200.00 $ 527.96 ($ 327.96)
 GGNRA, use permit $ 500.00 $1,000.00 ($ 500.00)
 Office and stamps $ 500.00 $ 302.47 $ 197.53
 USHPA, site insurance $ 250.00 $ 250.00 0.00
 Events:
 BBQ and permit $ 425.00 $ 429.25 ($ 4.25)
 Extraordinary expenses:
 Discretionary $ 277.00 $ 0.00 $ 277.00
 USHPA BOD meeting $ 250.00 $ 250.00 0.00
 Maintenance:
 site clean-up $ 480.00 $ 400.00 $ 80.00
 site improvement $ 100.00 $ 465.64 ($ 365.64)
 Meetings:
 refreshments $ 600.00 $ 825.62 ($ 225.62)
 Utilities:
 DSL $ 328.00 $ 202.65 $ 125.35
 Electric $ 240.00 $ 356.64 ($ 116.64)
 Windtalker $ 0.00 $ 278.75 ($ 278.75)
 Web hosting $ 100.00 $ 86.66 $ 13.34
 -------------------------------------------------------------------------
 Total expenses $4,700.00 $5,896.56 ($1,196.56)
 2008 Budget compared against funds on hold:
 
 Budget cash on hold Difference
 Fund type:
 Roofing fund $1,000.00 $1,000.00 $ 0.00
 Technology fund $ 400.00 $ 200.00 $ 200.00
 -------------------------------------------------------------------------
 Total on hold $1,400.00 $1,200.00 $ 200.00
By Month:
October 2007
Opening Balance: $3,559.21
Expenditures:
$10.00 Bank fees.
$140.91 Pizza for meeting Sep-Oct 07.
$110.00 Site maintenance & improvements.
$38.00 Club BBQ 2007 payment.
Total expenditures: $298.91
Deposits:
$45.00 Memberships.
$230.00 Donations.
Total deposits: $275.00
Ending Balance: $3535.30
------------------------------------------------
November 2007
Opening Balance: $3535.30
Expenditures:
$10.00 Bank fees.
$42.50 Pizza for meeting.
$80.00 Site maintenance.
$561.45 Forms/stickers 08.
$263.98 Stickers 09.
Extraordinary expenditures:
$250 2nd USHPA BOD meeting 07 (board approved Oct).
Total expenditures: $1207.93
Deposits:
$530.00 Membership dues 08
$130.00 Membership dues 07
$10.00 Donations 07
Total deposits: $670.00
Ending Balance: $2997.37
------------------------------------------------
December 2007
Opening Balance: $2,997.37
Expenditures:
$10.00 Bank fees.
$68.85 Pizza for meeting.
$40.00 Site maintenance.
$ 5.00 Supplies.
Total expenditures: $123.85
Deposits:
$895.00 Membership dues 08
$50.00 Donations 08
Total deposits: $945.00
Ending Balance: $3818.52
------------------------------------------------
January 2008
Opening Balance: $3,818.52
Expenditures:
$ 10.00 Bank fees (final)
$ 40.00 Site Maintanence
$ 23.34 Windtalker phone (Nov 07)
$ 9.50 Web hosting (Jan)
$121.47 PG&E ( Aug 07-Jan 08 )
Total expenditures: $204.31
Deposits:
$230.00 Donations
Total deposits: $230.00
Ending Balance: $3,844.21
------------------------------------------------
February 2008
Opening Balance: $3,844.21
Expenditures:
$ 39.46 Fellow Feathers BOA Checks.
$ 40.00 Site clean-up
$141.17 Refreshments for meeting (Jan-Feb)
$ 9.50 Web hosting
$ 30.17 PG&E. Clubhouse.
$ 55.41 AT&T. Windtalker (Jan-Feb)
$ 59.27 Windsock maintenance
$441.46 Clubhouse keys (2008)
$250.00 USHPA. Chapter renewal/Site insurance 2008
Total expenditures: $1066.44
Deposits:
$1,040.00 Membership ( Feb 08 )
$ 357.00 Donations (07)
$ 550.00 Donations ( Feb 08 )
$ 400.00 WebAd. Mission Soaring Center (2008)
$ 200.00 WebAd. Laminar (2008)
Total deposits: $2547.00
------------------------------------------------
March 2008
Opening Balance: $5,324.77
Expenditures:
$ 94.00 Refreshments for meetings (Mar)
$ 50.00 PG&E. Clubhouse (Feb-Mar)
$ 50.00 AT&T. Windtalker (Mar-Apr)
$ 9.50 Web hosting (Mar)
$ 28.95 Coastside DSL (Mar)
Total expenditures: $232.45
Deposits:
$ 610.00 Membership (Mar)
$ 30.00 Donations (Mar)
$ 300.00 Webcam Donation, Wings of Rogallo.
Total deposits: $940.00
Ending Balance: $6,032.32
------------------------------------------------
April 2008
Opening Balance: $6,032.32
Expenditures:
$ 71.50 Refreshments for meeting (Apr)
$ 80.00 Site clean-up (Mar-Apr)
$1000.00 GGNRA. Site use permit 2008 and 2009
$ 252.95 Anemometer and signs.
$ 20.00 PG&E. Clubhouse (Apr)
$ 20.00 AT&T. Windtalker (May)
$ 9.50 Web hosting (Apr)
$ 28.95 Coastside DSL (Apr)
Total expenditures: $1,482.90
Deposits:
$ 255.00 Membership (Apr)
$ 475.00 Donations (Apr)
Total deposits: $730.00
Ending Balance: $5,279.42
------------------------------------------------
May 2008
Opening Balance: $5,279.42
Expenditures:
$45.00 Refreshments for meeting (May)
$20.00 PG&E. Clubhouse (May)
$20.00 AT&T. Windtalker (Jun)
$ 9.50 Web hosting (May)
$28.95 Coastside DSL (May)
Total expenditures: $123.45
Deposits:
Total deposits: $0.00
Ending Balance: $5,155.97
------------------------------------------------
June 2008
Opening Balance: $5,155.97
Expenditures:
$58.69 Refreshments for meeting (Jun)
$40.00 Site clean-up (Jun)
$25.00 PG&E. Clubhouse (Jun)
$25.00 AT&T. Windtalker (Jul)
$ 9.79 Web hosting (Jun)
$28.85 Coastside DSL (Jun)
Total expenditures: $187.43
Deposits:
Total deposits: $0.00
Ending Balance: $4,968.54
------------------------------------------------
July 2008
Opening Balance: $4,968.54
Expenditures:
$67.00 Refreshments for meeting (Jul)
$80.00 Site clean-up (May,Jul)
$30.00 PG&E. Clubhouse (Jul)
$25.00 AT&T. Windtalker (Aug)
$ 9.79 Web hosting (Jul)
$28.95 Coastside DSL (Jul)
$25.43 Site maintenance.
Total expenditures: $266.17
Deposits:
$241.00 Donations (May-Jun)
$360.00 T-Shirt donations (Jun)
$385.00 Glider Auction Donations (2008)
$100.00 Membership (Jul)
$100.00 T-Shirt donations (Jul)
Total deposits: $1,186.00
Ending Balance: $5,888.37
------------------------------------------------
August 2008
Opening Balance: $5,888.37
Expenditures:
$49.00 Refreshments for meeting (Aug)
$50.00 Memorial Fly-in permit
$30.00 PG&E. Clubhouse (Aug)
$30.00 AT&T. Windtalker (Sep)
$ 9.79 Web hosting (Aug)
$28.95 Coastside DSL (Aug)
$17.99 Site maintenance.
Total expenditures: $215.73
Deposits:
$155.00 Membership (Aug)
$424.00 Donations (Jul-Aug)
$120.00 T-Shirt donations (Aug)
Total deposits: $699.00
Ending Balance: $6,371.64
------------------------------------------------
September 2008
Opening Balance: $6,371.64
Expenditures:
$ 47.00 Refreshments for meeting (Sep)
$341.25 Memorial Fly-in BBQ
$ 30.00 PG&E. Clubhouse (Sep)
$ 30.00 AT&T. Windtalker (Oct)
$ 9.79 Web hosting (Sep)
$ 28.95 Coastside DSL (Sep)
Total expenditures: $486.99
Deposits:
$35.00 Membership (Sep)
$560.00 Donations (Sep)
Total deposits: $595.00
Ending Balance: $6,479.65

