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North American Tasar Association
Financial Statements 1999/00

These financial statements were prepared by the NATA Treasurer, Diane Dronsfield, and approved at the NATA AGM on October 7, 2000

Balance Sheet
March 31, 2000
ASSETS 2000 1999
Cash $3,931 $10,179
Royal Bank GIC 9,000

CAD$12,931

CAD$10,179

LIABILITY & EQUITY
Accounts Payable 30
Members' Equity 12,931 10,149

CAD$12,931

CAD$10,179

Income Statement
for year ending March 31, 2000
REVENUE 2000 1999
Membership 3,452 2,595
Interest Earned 195 20

CAD$3,647

CAD$2,615

EXPENSES
Insurance 466 460
Supplies & Equipment 314
Awards & Trophies 216
National Dues 183 182

CAD$865

CAD$956

Surplus 2,782 1,659
Equity April 1, 1999 8,490
Equity March 31, 2000 10,149

CAD$12,931

CAD$10,149

Note:
All amounts are in Canadian dollars.
Posted 00-10-15

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