September ‘09 WFPA Board
Meeting
Treasurer’s Report
Current Accounts Summary:
|
|
Last Month |
This Month |
Change |
Checking
|
$(4,594)
|
$15,175
|
$19,769
|
|
Savings
|
$140,077
|
$116,752
|
$(23,325)
|
|
Total
|
$135,483
|
$131,927
|
$(3,556)
|
Monthly/YTD P&L:
|
|
|
|
|
YTD August '09
|
YTD August '08
|
|
|
August '09
|
August "08
|
|
3 mos.
|
3 mos.
|
|
Total
Revenues
|
$5,786
|
$5,871
|
|
$44,046
|
$31,372
|
|
Total
Expenses
|
$13,197
|
$6,690
|
|
$65,104
|
$27,979
|
|
Net
Income
|
-$7,411
|
-820
|
|
-$21,057
|
$3,388
|
Notes:
- August EOM Chase DDA balance
declined by $9,534 on 9-4-09 with encashment of the WVFD check. Register
balance at 8-31-09 was $123,503.
- August 2009 P&L actuals
include a periodic insurance payment of $5,063 accrued but unpaid to VFIS
(due 9-15-09), versus $2,027 paid last August. Legal fees paid of $3,630
was an unfavorable variance to last August ’08. Absent these variances,
income and expenses for the month were comparable (breakeven to small
loss).
- Significant difference in
YOY expenses (approximately $37,125), due to Arts and Crafts expenses
($21,594), legal ($6,526), insurance ($3,036) and equipment ($4,909),
expenses. Turnout expense was offset by a grant from the 100 Club
($7,554), and increased both sides of the P&L for the current YTD. Continuing
variance resulting from the Arts and Crafts expenses will be notable
throughout the year as a majority of the Arts and Crafts income was taken
during FY 2008 and a majority of the expense taken during the current
year.
- WFPA semi-annual dues
drive to begin late September to create fall/winter revenue flow. Review
of donation letter format and giving approaches underway.
Material Financial Activity for August 2009
Income:
Donations $
1,760
Merchandise Sales $
594
Mayoral Election $
602
Ice Cream Social $
762
Pancake Breakfast $
1,074
CVS Pancakes and Dogs $
994
Total $
5,786
Expenses:
Arts and Crafts Expenses $ 313
Equip & Repairs $ 217
Legal Services $ 3,630
Payroll $ 1,703 Severity
payroll and taxes
Merchandise $ 290
Insurance (periodic) $ 5,063 Accident
/sicness-annual, P&C/lia.-quarterly
Utilities &
Communications $ 908 Qwest, APS and communications
Medical Supplies $
202
Other $
871 Dues, district, fuel, supplies, fundraising
Total Expenses $
13,197
Other Financial
Activities/Discussion:
- Food fundraisers did well
in August with over $2,800 raised via the Ice Cream Social, the Pancake Breakfast
and the CVS special event.
- Semi-annual WFPA insurance
premium expensed in August, payable by September 15th. Overall
costs reduced $450 annually by increasing deductables by $500 to $1,000
each but increasing contents insurance at the Fire Station by $30,000.
- Mary Dalton, assistant fire
chief of the Central Yavapai Fire District confirmed on 8-28-09, that there are no pre-district requirements relating to WFPA financial reporting. This was
the final outstanding item relating to the Audit Committee dissolution in
August.
- Federal tax return completed
and remitted to IRS.
- Budget committee completed
the final draft of the FY 2009 Budget and presented to the Board for
Review.