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MANAGEMENT OF MEETINGS AND EVENTS

TREASURERS REPORT DATED DECEMBER 03, 2014

I have pleasure in presenting the Financial Reports for the period of October to November 20,
2014.
For the benefit of members I have printed a detailed version of the reports so that the
members can see where the money came from. For the period the statement shows that the
MOME group raised through the payment of dues a total of $17,000 JMD.

INCOME
On November 03, 2014 the MOME group received from members in the form of dues a total
of $4,000.
However on the November 10, 2014 the only $2000.00 was received from members.
Bringing the total funds to $6000.00 total
On November 17, 2014 an additional $10,000 dues were collected from members bring the
total income to $16000. On November 20th another $1000.00 was collected from a member
who brought the total collection to $17,000.00 for the period.

EXPENDITURE

The president of the MOME requested that all income for the period, and it was handed over
by the Treasurer on November 21, 2014.
Remaining balances were collected by the president who will present receipt of all
expenditures for the MOME event.

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