2023 Year End Financial Summary
SPACC 2023 FINANCIAL SUMMARY
OPENING BALANCE $53,457.20
OPENING BALANCE –OPERATIONS $ 9,508.03
GENERAL DONATIONS $ 5,180.00
OUTREACH – GENERAL 128.25
YARD SALE
2,692.05
OUTREACH – FOOD BANK 11,959.21
HST REBATE 2022 402.76
GIFTS IN KIND 1,239.02
TOTAL OPERATING INCOME $23,700.44
EXPENSE
GENERAL OPERATING $3,668.09
PROPERTY 2,010.79
FUNDRAISING 144.06
OUTREACH – FOOD BANK 9,134.21
OUTREACH – OTHER 250.00
GIFTS IN KIND 1,239.02
TOTAL OPERATING EXPENSES $16,446.17
CLOSING BALANCE - OPERATIONS $16,492.30
OPENING BALANCE – CAPITAL $43,949.17
GRANTS & DONATIONS ------
EXPENSES – CONTRACTOR $ 30,141.06
CONTRACTOR 11,300.00
TOTAL CAPITAL EXPENSES $41,441.06
CLOSING BALANCE – CAPITAL $ 2,508.11
CLOSING BALANCE $19,000.41