2024 Income and Expense Statement
SPACC 2024 INCOME AND EXPENSE STATEMENT SUMMARY
Account Balance 01/01/2024 $18,975.41
Opening Balance - Operations $16,492.30
INCOME
General Donations $391.60
Outreach - Food Bank $17,456.28
Outreach - Pride $8,394.65
Ottawa Bike Club $2,864.65
Yard Sales $3,399.00
Memorials
Gifts-in-Kind $265.95
Total Income $32,772.13
EXPENSE
General (Utilities, Insurance) $5,093.67
Property $1,335.51
Outreach - Food Bank $18,805.49
Outreach - Pride $8,193.20
Ottawa Bike Club $572.73
Fundraising $180.00
Bank Fees $33.15
Memorials $150.00
Gifts-in-Kind $415.95
Total Expense $34,779.70
Closing Balance - Operations $14,484.73 $14,484.73
Opening Balance - Capital $2,508.11
INCOME
Grants and Donations $35,000.00
HST Rebate $4,017.33
Total Income $39,017.33
EXPENSE
Plumber $731.11
Hall Roof $38,216.60
Total Expense $38,947.71
Closing Balance - Capital $2,577.73 $2,577.73
Account Balance 31/12/2024 $17,062.46