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ILLINOIS ASSOCIATION OF PARK DISTRICTS STATEMENT OF CASH RECEIPTS AND DISBURSEMENTS Year Ended December 31, 1971 CASH BALANCE—January 1, 1971................................ $ 11,812.67 CASH RECEIPTS Memberships .............................................$ 86,952.50* Annual Conference and Seminars. ............................. 39,219.13 Publications .............................................. 6,682.38 Gifts—Associate Members .................................. 3,760.00 Other income ............................................ 8,601.94 TOTAL CASH RECEIPTS. ............................... .$145,215.95 CASH DISBURSEMENTS Personal Services ..........................................$ 73,784.60 Materials and supplies. ..................................... 2,688.71 Contractual Services ....................................... 51,294.07** Office Equipment .......................................... 1,440.14 Other expenses .......................................... 2,996.93 TOTAL CASH DISBURSEMENTS. ........................ .$132,204.45 EXCESS OF RECEIPTS OVER DISBURSEMENTS. .................... 13,011.50 PAYROLL DEDUCTIONS WITHHELD—Dec. 1971 .................... 1,230.21 INCREASE IN CASH FOR THE YEAR............................... $ 14,241.71 CASH BALANCE—December 31, 1971............................. $ 26,054.38 * Includes $18,680.00 of 1972 dues received during December 1971. ** Includes $14,810.32 expenses for 1971 Conference. This financial summary was prepared from the 1971 Audit, conducted by Meyer & Van Meter Certified Public Accountants. Eugene Berghoff Exec. Vice-President Illinois Parks and Recreation 26 May/June, 1972 |
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