SUMMER ACADEMY Financial report - DRAFT 18th EDAMBA Summer Academy at Soreze 2009 Acutal 2009 2008 Income Participants (36 á 850 €) Participants (2 á 1.350 €) Total income 30.600,00 2.700,00 33.300,00 35.650 Budget 2010 32.300 2.700 35.000 Expenses Accommodation participants Accom. faculty & spouses Excursion Welcome reception Farewell dinner Faculty dinner Rooms & facilities Books Bus transfers Travel expenses Administration Total expenses Result Participants late cancelation Support EDAMBA org Net result 30.780,00 8.619,00 1.000,00 171,50 1.617,00 825,00 250,00 0,00 1.095,00 3.078,05 3.741,80 33.250 10.000 1.250 200 1.750 1.000 1.250 0 1.200 4.000 4.000 51.177,35 53.877 57.900 -17.877,35 1.700,00 20.000,00 -18.227 -22.900 20.000 20.000 3.822,65 1.773 -2.900 SUMMER ACADEMY Assets Petty cash Outstanding Bank - liabilities 0,00 350,00 10.044,83 10.394,83 Equity Acc. results prev. years 4.672,18 2009 3.822,65 Acc. Results 8.494,83 Accounts payable 1.900,00 10.394,83 EDAMBA GENERAL ASSEMBLY WARSAW, 7 SEPTEMBER 2009 Financial Report ANNUAL REPORT Result of operations Fiscal year Aug 1st 2008 to July 31st 2009 2008 / 09 2007 / 08 € € Income Membership fees 2008/09 (63 members) 47.250,00 Total Income 47.250,00 45.000 40.256,54 38.464 Expenditures Activites EDAMBA Journal EDAMBA Summer Academy 0,00 20.000,00 EDAMBA Winter Academy 5.202,12 Thesis competition, prizes 4.750,00 Thesis competition, expenses 778,92 Administrative expenditures Salary Secretariat Administrative costs Web site maintenance 3.000,00 779,43 970,71 Travel exp. Secretariat 1.216,42 Travel exp. Others 2.403,94 Substances, executive meeting 1.155,00 Total Expenditures ANNUAL REPORT Result of operations Fiscal year Aug 1st 2008 to July 31st 2009 2008 / 09 2007 / 08 € € 6.993,46 6.536 754,72 849 Write off 4.350,00 2.700 Result (carried over to Contingency Reserves) 3.398,18 4.685 Result before finance Finance Bank transfer cost Interest Bank Total Finance -134,52 889,24 ANNUAL REPORT Balance Sheet as of July 31st 2008 Assets 2008 / 09 € Note Prepaid expenses Annual meeting 2009 1 Receivables Reimbursements Membership fees 2 2 Liquids Bank accounts KBC Brussels 4 750,00 2.262,84 3.750,00 55.139,11 Total assets 61.901,95 Liabilities 2008 / 09 € Contingency reserves Primo This year Accounts payable Prepaid Membership Fee Total Liabilities 6.012,84 53.105,46 3.398,18 3 56.503,64 4.648,31 750,00 61.901,95 ANNUAL REPORT Notes 1 Prepaid expenses Registration fee Annual conf 2009 750,00 2 Receivables Reimbursement of expenses: Travel expenses new members 2.262,84 Membership fees: Bologna University 750,00 Cagliari 750,00 Plekhanov UAB, Universidad Autònoma de BARCELONA 750,00 AIX en Procence, Marseille 750,00 750,00 Total Receivables 3.750,00 6.012,84 3 Accounts payable EDAMBA Winter Academy 3.648,31 EDAMBA Journal - printing 1.000,00 4.648,31 4 Bank Accounts KBC 734-0191915-58 1.247,56 KBC 726-5032434-57 KBC 744-0192161-94 53.891,55 55.139,11 7 ANNUAL REPORT BUDGET 2009 / 10 Budget 09/10 € pct. of income Act. 08/09 € pct. of income Income Membership fees (63 members * 750) Expenditures Activities: EDAMBA Journal EDAMBA Summer Academy EDAMBA Winter Academy Thesis competition, prizes Thesis competition, expenses 47.250 500 18.500 7.500 4.750 1.500 Strategic alliances & development: Expenditures Adminitrative expenditures: Salary Secretariat Stamps, phone etc Web side maintenance Travel exp. Secretariat Travel exp. Others Substances, executive meeting Total Expenditures Result before finance 32.750 69% 47.250 0 20.000 5.202 4.750 779 5.000 11% 3.000 1.000 750 1.500 2.500 1.250 10.000 21% 47.750 101% 30.731 0 3.000 779 971 1.216 2.404 1.155 9.526 20% 40.257 85% -500 6.993 500 755 Write offs 0 4.350 Result 0 3.398 Total Finance 65% 8
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