Difference between revisions of "2018-12-04"

From Splatspace
Jump to: navigation, search
(Public Relations)
(Treasurer)
Line 36: Line 36:
  
 
=====[[Treasurer]]=====
 
=====[[Treasurer]]=====
 +
{| class="wikitable"
 +
|-
 +
!
 
* Account balances as of 12/01:
 
* Account balances as of 12/01:
 
{| class="wikitable"
 
{| class="wikitable"
Line 44: Line 47:
 
|}
 
|}
 
* '''Balance - Outstanding debits ($1900) - 3 month reserve ($6633) = $'''3027.70'''
 
* '''Balance - Outstanding debits ($1900) - 3 month reserve ($6633) = $'''3027.70'''
 +
|}
 
<br>
 
<br>
 +
{| class="wikitable"
 +
|-
 +
!
 
* This month's income:
 
* This month's income:
 
{| class="wikitable"
 
{| class="wikitable"
Line 52: Line 59:
 
|  $0.00    || $30.00      || $2332.95  || '''$2362.95'''
 
|  $0.00    || $30.00      || $2332.95  || '''$2362.95'''
 
|}
 
|}
 
+
|-
<br>
+
!
 
* This month's expenses:  
 
* This month's expenses:  
 
{| class="wikitable"
 
{| class="wikitable"
Line 61: Line 68:
 
|  $1900.00    || $20.00      || $59.99  || $1164.00 || $104.94 || '''$3248.93'''
 
|  $1900.00    || $20.00      || $59.99  || $1164.00 || $104.94 || '''$3248.93'''
 
|}
 
|}
<br>
 
 
* '''Income - Expenses = -$885.98'''
 
* '''Income - Expenses = -$885.98'''
 +
|}
 
<br>
 
<br>
 
* Active Member count as of 12/01: (Active = paid dues within past 60 days)
 
* Active Member count as of 12/01: (Active = paid dues within past 60 days)

Revision as of 20:11, 4 December 2018

Contents

December 4th, 2018

Agenda

  1. Approve draft minutes of the last meeting
  2. Consent Agenda
  3. Old Business
  4. New Business
  5. Officer Reports
    1. President
    2. Vice-President
    3. Treasurer
    4. Secretary
    5. Public Relations
    6. At-Large
  6. Member Reports
  7. Adjournment

Minutes

  • Approve minutes from 2018-11-13 (Annual Meeting)
Member Attendance

Consent Agenda

  • No items this month.

Old Business

New Business

Officer Reports

President
Vice-President
Treasurer
  • Account balances as of 12/01:
BB&T Cash Total
$11431.70 $129.00 $11560.70
  • Balance - Outstanding debits ($1900) - 3 month reserve ($6633) = $3027.70


  • This month's income:
BB&T Deposits Cash Stripe Total
$0.00 $30.00 $2332.95 $2362.95
  • This month's expenses:
UDI Rent Linode.com Spectrum Tapco Misc Total
$1900.00 $20.00 $59.99 $1164.00 $104.94 $3248.93
  • Income - Expenses = -$885.98


  • Active Member count as of 12/01: (Active = paid dues within past 60 days)
Membership Type # Members Expected Dues
Full 34 $1700
Associate 15 $300
Student 4 $140
Total 53 $2140


Secretary
Public Relations
  • Aaron - website plans, recruitment efforts
At-Large
  • Ryan - wood shop plans

Member Reports

Coming Events

Trash/Recycling Volunteer

Adjournment