Balance Sheet - June 2013: Difference between revisions
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(June 2013 balance sheet) |
(Restatement to reflect donations to legal defense funds) |
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Line 83: | Line 83: | ||
|---- | |---- | ||
|Total Cash | |Total Cash | ||
| $14,130.16 | |$14,130.16 | ||
|---- | |---- | ||
|WePay Accounts | |WePay Accounts | ||
Line 92: | Line 92: | ||
|---- | |---- | ||
|1050 - General Fund | |1050 - General Fund | ||
| | |0.00 | ||
|---- | |---- | ||
|1055 - General Assembly Fund | |1055 - General Assembly Fund | ||
Line 113: | Line 113: | ||
|---- | |---- | ||
|1080 - Wind Turbine Fund | |1080 - Wind Turbine Fund | ||
| | |0.00 | ||
|---- | |---- | ||
|Total WePay Accounts | |Total WePay Accounts | ||
| $ | |$1,318.03 | ||
|---- | |---- | ||
|Total Bank Accounts | |Total Bank Accounts | ||
| $ | |$15,448.19 | ||
|---- | |---- | ||
|Other current assets | |Other current assets | ||
Line 131: | Line 131: | ||
|---- | |---- | ||
|Total Other current assets | |Total Other current assets | ||
| $49.90 | |$49.90 | ||
|---- | |---- | ||
|Total Current Assets | |Total Current Assets | ||
| $ | |$15,498.09 | ||
|---- | |---- | ||
|TOTAL ASSETS | |TOTAL ASSETS | ||
| $ | |$15,498.09 | ||
|---- | |---- | ||
|LIABILITIES AND EQUITY | |LIABILITIES AND EQUITY | ||
Line 155: | Line 155: | ||
|---- | |---- | ||
|Total Accounts Payable | |Total Accounts Payable | ||
| $- | |$- | ||
|---- | |---- | ||
|Other Current Liabilities | |Other Current Liabilities | ||
Line 170: | Line 170: | ||
|---- | |---- | ||
|Total Other Current Liabilities | |Total Other Current Liabilities | ||
| $8,965.21 | |$8,965.21 | ||
|---- | |---- | ||
|Total Current Liabilities | |Total Current Liabilities | ||
| $8,965.21 | |$8,965.21 | ||
|---- | |---- | ||
|Total Liabilities | |Total Liabilities | ||
| $8,965.21 | |$8,965.21 | ||
|---- | |---- | ||
|Equity | |Equity | ||
Line 185: | Line 185: | ||
|---- | |---- | ||
|Net Income | |Net Income | ||
| | |(1,561.20) | ||
|---- | |---- | ||
|Total Equity | |Total Equity | ||
| $ | |$6,532.88 | ||
|---- | |---- | ||
|TOTAL LIABILITIES AND EQUITY | |TOTAL LIABILITIES AND EQUITY | ||
| $ | |$15,498.09 | ||
|---- | |---- | ||
| | |Monday, Sep 02, 2013 01:17:26 PM PDT GMT-4 - Cash Basis | ||
| | | | ||
|---- | |---- |
Latest revision as of 12:48, 2 September 2013
Disclaimer: The amounts for accounts 1005 - 1009B, 1014, 1045 - 1080 are unverified.
OccupyBoston | |
Balance Sheet | |
As of June 30, 2013 | |
Total | |
ASSETS | |
Current Assets | |
Bank Accounts | |
Cash | |
1000 - Cash Box | 0.00 |
1001 - Decolonize Cash Box | 74.23 |
1002 - Food Cash Box | 0.00 |
1003 - General Assembly Cash Box | 0.00 |
1004 - Laundry Cash Box | 0.00 |
1005 - Legal Cash Box | 295.90 |
1006 - Occupy Boston Radio Cash Box | (7.94) |
1007 - Screen Guild Cash Box | 273.55 |
1008 - Tactical Fund Cash Box | 0.00 |
1009A - Women's Caucus Cash Box | 0.00 |
1009B - FAB | 180.00 |
1010 - Liberty Bay Credit Union, Checking | 0.00 |
1012 - Liberty Bay Credit Union, Savings | 0.00 |
1013 - Liberty Bay Credit Union, Legal | 0.00 |
1014 - Eastern Bank - Boston Occupier | 1,843.61 |
1020 - CPCU Personal Checking (3008) | 0.00 |
1021 - CPCU Personal Savings (2985) | 0.00 |
1022 - CPCU Business Checking (0334) | 1,894.80 |
1023 - CPCU Business Savings (0326) | 9,576.01 |
Total Cash | $14,130.16 |
WePay Accounts | |
1045 - Boston Occupier | 1,056.45 |
1050 - General Fund | 0.00 |
1055 - General Assembly Fund | 28.63 |
1060 - Generator Fund | 0.00 |
1065 - Greenway Fund | 0.00 |
1070 - Legal Fund | 0.00 |
1075 - Mutual Aid | 4.50 |
1077 - Occupy Boston Radio | 228.45 |
1080 - Wind Turbine Fund | 0.00 |
Total WePay Accounts | $1,318.03 |
Total Bank Accounts | $15,448.19 |
Other current assets | |
1200 - Prepaid Expenses | 49.90 |
1299 - Undeposited Funds | 0.00 |
Total Other current assets | $49.90 |
Total Current Assets | $15,498.09 |
TOTAL ASSETS | $15,498.09 |
LIABILITIES AND EQUITY | |
Liabilities | |
Current Liabilities | |
Accounts Payable | |
2000 - Accounts Payable | 0.00 |
Total Accounts Payable | $- |
Other Current Liabilities | |
2500 - Accrued Expenses | 800.00 |
3000 - Consented Proposals | 8,165.21 |
3010 - Legal Funds | 0.00 |
Total Other Current Liabilities | $8,965.21 |
Total Current Liabilities | $8,965.21 |
Total Liabilities | $8,965.21 |
Equity | |
Retained Earnings | 8,094.08 |
Net Income | (1,561.20) |
Total Equity | $6,532.88 |
TOTAL LIABILITIES AND EQUITY | $15,498.09 |
Monday, Sep 02, 2013 01:17:26 PM PDT GMT-4 - Cash Basis |