Uploaded: Sep 29, 2005
Minor correction: Oct 21, 2005
Return to WMF Canada Corporate Page| ASSETS | ||
|---|---|---|
| Current assets: | ||
| Cash in bank | $29,187.45 | |
| $29,187.45 | ||
| LIABILITIES | ||
| Current liabilities: | 0.00 | |
| EQUITY | ||
| Retained earnings: | $29,187.45 | |
| $29,187.45 | ||
Approved on behalf of the Board:
signed
A. Hinchcliffe . . . . . . . . Director and President
R. J. Anderson . . . . . . . . Director and Treasurer
| Revenues: | ||
| Donations received during the year: | ||
| Receipted donations | $23,048.58 | |
| Other donations (consisting of proceeds from a fundraising event plus donations received from the United Way) | $2,048.58 | |
| $25,393.03 | ||
| Expenses: | ||
| Payment to International Waldenstrom's Macroglobulinemia Foundation (IWMF) for member services (part of public education and dissemination of information to persons suffering from Waldenstrom's Macroglobulinemia -- see object "a" in Note 5 to the Financial Statments) | 12,824.36 | |
| Stationery | 304.75 | |
| Website costs | 243.96 | |
| Video machine rental costs (for IWMF education seminar videos) | 221.95 | |
| Bank service charges | 80.23 | |
| 13,675.25 | ||
| Net excess of revenues over expenses for the year | $11,717.78 |
| Balance, beginning of year | $ $17,469.67 | |
| Net excess of revenues over expenses for the year (per statement) | 11,717.78 | |
| Balance, end of year | $29,187.45 | |