Jan 2023 Financial Snapshot
January 18, 2023Cash Flow – Operating Fund as of 12/31/22
ACTUAL | BUDGETED | |
Income YTD: | $1,312,554 | $1,250,000 |
Expenses YTD: | 1,190,956 | 1,293,937 |
Surplus/(Deficit) YTD: | 121,598 | (43,937) |
Notes from the treasurer:
- Contributions are about $74K ahead of 2021 and $50K ahead of budgeted contributions
- Building & Grounds is about $53K below budget, with $20,897 carried into 2023.
- We finished the year with a positive change in net assets of $100,700.