2017- Statement of Activities

KONBIT POU POTAPIMAN INC.
Year ended December 31st, 2017
Net Asset at beginning of Year     $ 14,972.27  
   
REVENUES AND SUPPORT
Contributions     $   6,782.54
Membership Fees received     $      935.00
Sponsorships     $   2,505.00
Fund-raising     $ 12,265.00
Award funds     $      900.00
Pledge – Jabouin     $   1,765.00
TOTAL REVENUES     $ 25,152.54
EXPENSES – PROGRAM ACTIVITIES
KPP-Sponsorship program  $   5,765.00
KPP- Awards program  $      500.00
KPP- Summer Camp program  $   4,989.90
KPP- Health Program  $            –
Fund -raising Expenses  $   5,193.06
Shipping expenses  $      543.86
Postage  $      318.14
Internet-Communications Exp  $       91.32
Banking fees  $      731.71
Hurricane Relief  $   5,740.00
KPP- Business Youth Program/Library  $   2,811.15
TOTAL EXPENSES  $ 26,684.14  
     
Change in Net Assets (Current Period)  $  (1,531.60)  
     
Net Asset at End of Year  $ 13,440.67

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