Voice of the Faithful - Santa Barbara Area
FINANCIAL REPORT OF JUNE 6, 2005
FOR PERIODS NOVEMBER 1, 2002 THROUGH JUNE 6, 2005 AND FEBRUARY 8, 2005 THROUGH JUNE 6, 2005
All Dates Current Period
Nov 1, '02 - Jun 6, 05 Feb 8 - Jun 6, 05
Income
Contributions 5,938.27 1,353.00
Total Income 5,938.27 1,353.00
Expense
Advertising 488.00
Appreciation Certificates 28.68
Bank Service Charges 270.00 40.00
Gifts 25.00
Honorariums 100.00
PA System 130.00
Photocopies 329.75 31.55
Postage 530.25 77.60
Printing 880.76
Reception-Healing Mass 208.05
Refreshments 110.31 48.55
Signs 52.59
Supplies 169.47 18.63
Travel
National VOTF Conference 400.00
Total Travel 400.00
Website expense 235.80
Total Expense 3,958.66 216.33
Balance 1,979.61 1,136.67
Note: "All Dates" reflects all activity since the beginning of our chapter; the balance in this column
 is the current cash balance.  "Current Period" reflects activity since the last prepared financial report.
Prepared by Carol Murray