ASSETS

Current Assets                                                            

Cash in bank                                                                $18,684

Cash on hand                                                              2679

Prepaid expenses                                                        22221

TOTAL CURRENT ASSETS                                           43,584

Fixed Assets

Furniture & fixtures                                                    6,385

Accumulated depreciation                                         (240)

NET FIXED ASSETS                                                     6,145

Other Assets

Rental Deposits                                                           2,100

TOTAL ASSETS                                                             $51,829

FUND BALANCE

Fund Balance, as of annexed                                      $51,829

STATEMENT OF REVENUE, EXPENSES,

AND CHANGES IN FUND BALANCE ARISING

PRINCIPALLY FROM CASH TRANSACTIONS

From June 1, 1984 (Inception)

Through March 31, 1985

REVENUE

Membership dues                                                                   $120,309

Donations                                                                                18,282*

TOTAL REVENUE                                                                    135,591

EXPENSES

Salaries and consultant fees                                                   20,150

Rent and utilities                                                                     16,934

Travel and moving expenses                                                  10,982

Telephone                                                                               9095

Office Expenses                                                                      8,034

Professional Fees                                                                    7,100

Printing and publications                                                        5,933

Convention video tape production                                         5,352

Miscellaneous Expenses                                                         1,781

Postage and Delivery                                                              1,161

Depreciation                                                                           240

 

TOTAL EXPENSES                                                                   86,762

REVENUES IN EXCESS OF EXPENSES                                       $51,829

FUND BALANCE, at inception —

FUND BALANCE, end of the period                                         $51,829

* Donors

1.8. J. S. Sethi                                                                          $ 200.00

  1. S. Didar Singh Bains 200.00
  2. Dr. G. S. Grewal 1,000.00

4.8, RDS Dhariwal                                                                   500.00

  1. Dr. Pavittar Singh 1,000.00
  2. SRC Chicago 1,000.00
  3. Dr.N. S. Kapany 10,000.00
  4. SRE Chicago 18870
  5. S. Didar Singh Bains 1,000.0
  6. ‘Gupat Daan’ 2,000.00

TOTAL                                                                                     $18,282.00

NOTE

(i) These Donations were given to General Bhullar

For personal use (excpet item 7) and were taken on books.

(ii) Any U.S. Citizen whose name does not appear in the list may please inform the Secretariat

(iii) Fats 10 include Donars whose names are not known.

Article extracted from this publication >>  June 28, 1985