Monthly financials, May 2013

Home   Monthly financials, May 2013

Bicycle Valet winnipeg

Income/Expense
Balance sheet

BV Income & Expense For Period Covering 2013-05-01 to 2013-05-31

^ top(updated 2013-08-12)

Revenues
Bike Valet $635.00
BV Fees $635.00
Total Revenue $635.00
Expenses
Bike Valet Operations $1,444.31
BV staff contracts $813.50
BV Volunteer Support $25.00
BV Operations & Supplies $493.81
BV Advertising & Website $72.00
BV Storage $40.00
Total Expenses $1,444.31
Net loss for Period $809.31

 

BV Balance sheet 2013-05-31

^ top(updated 2013-08-12)

Assets $13,007.41
Current $4,787.78
BV A/Receivable $635.00
BV Start-up advance $870.81
BV Working funds $3,281.97
BV capital equipment $8,219.63
BV Tools & equip $685.92
BV Racks $1,747.51
BV Fencing $288.50
BV Tents $2,013.52
BV Trailers $2,752.76
BV Signage $731.42
Total Assets $13,007.41


BV A/P $280.00
BV Director A/P $116.43
Total Liabilities $396.43

Retained Earnings $12,610.98
Total Equity $12,610.98

Total Liabilities & Equity $13,007.41