Feb 2022 Financial Snapshot
February 16, 2022
Cash Flow – Operating Fund as of 1/31/22
ACTUAL | BUDGETED | |
Income YTD: | $105,666 | $104,167 |
Expenses YTD: | 88,395 | 107,832 |
Surplus/(Deficit) YTD: | 17,271 | (3,665) |
Note from the treasurer:
- Nothing major at this point. Income is in line with budget and expenses are slightly less than budget.