Uploaded: November 3, 2007
Return to WMF Canada Corporate Page| ASSETS | ||
|---|---|---|
| Current assets: | ||
| Cash in bank | $50,433.08 | |
| $50,433.08 | ||
| LIABILITIES | ||
| Current liabilities: | 0.00 | |
| EQUITY | ||
| Retained earnings: | 50,433.08 | |
| $50,433.08 | ||
Approved on behalf of the Board:
signed
A. Hinchcliffe . . . . . . . . Director and President
R. J. Anderson . . . . . . . . Director and Treasurer
| Revenues: | ||||||
| Receipted donations received during the year: | ||||||
| Membership Fees | $15,700.00 | |||||
| Special "in Memory of" Donations | 4,925.00 | |||||
| Research Donations | 15,455.25 | |||||
| Unclassified Donations | 275.00 | |||||
| 36,355.25 | ||||||
| Other donations (received via the United Way, etc.) | 3,542.32 | |||||
| Total revenues | 39,897.57 | |||||
| Expenses: | ||||||
| Research contribution (to Alberta Cancer Board) (see object "b" in Note 5) | $25,000.00 | |||||
| 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) | 13,589.96 | |||||
| Stationery and office supplies | 1,030.07 | |||||
| Postage and delivery costs | 347.62 | |||||
| Website costs | 243.96 | |||||
| Bank and credit card service charges | 1,044.65 | |||||
| Total expenes | 41,256.26 | |||||
| Net excess/-deficiency of revenues over expenses for the year | -$1,358.69 | |||||
| Balance, beginning of year | $ $51,791.77 | |
| Net excess/-deficiency of revenues over expenses for the year (per statement) | -1,358.69 | |
| Balance, end of year | $50,433.08 | |