2024 Financial Statement
January 1st - December 31stOpening Balance as of January 1, 2024 | $ 11,476.89 | |
---|---|---|
Calendar Year Contributions: | $ 137,165.00 | |
Disbursements: | Amount | |
Bank Service Charges | $ 52.00 | |
Barge Service (Annual fee) | $ 3,000.00 | |
Bookkeeping | $ 2,400.00 | |
Fireworks Show by Pyrotecnico - 4th of July | $ 79,250.00 | |
Fireworks Pyrotecnico 4th of July 2025 Deposit | $ 16,000.00 | |
Fireworks Show by Pyrotecnico - Labor Day | $ 25,000.00 | |
Corporate Renewal | $ 60.00 | |
Credit Card Processing Fees | $ 3,016.31 | |
U.S.P.O. Box | $ 216.00 | |
Printing/Mailing | $ 3,959.81 | |
Website | $ 954.03 | |
Website Admin. | $ 2,784.67 | |
Digital Marketing | $ 341.58 | |
Fire Department Oversight | $ 600.00 | |
Other Expense | $ 450.00 | |
Total Disbursement: | $ 138,084.40 | |
Ending Balance as of December 31, 2024 | $ 10,557.49 |