Difference between revisions of "Meetings/2024-02"
From Makers Local 256
< Meetings
(→Finance Committee: Updated) |
(→Monthly Treasurer's Report: Done?) |
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Line 20: | Line 20: | ||
== Finance Committee == | == Finance Committee == | ||
=== Monthly Treasurer's Report === | === Monthly Treasurer's Report === | ||
− | As of the close of business on | + | As of the close of business on 01/31/2023: |
* Assets: $7,494.45 | * Assets: $7,494.45 | ||
** Redstone: $6,510.03 | ** Redstone: $6,510.03 |
Revision as of 20:25, 22 February 2024
Date/Location
- February 22, 2024
- 7:30pm
- Shop
- All members
Agenda
Topic | Presenter | |
---|---|---|
Review of Board Action Items | Chairman | Action Items |
Treasurer's Report | Treasurer | Action Items |
Netadmin Report | TBD | Action Items |
Facilities Committee Report | Facilities Committee | Action Items |
Project | Chairman | Action Items |
Publicity & Events | Publicity Chair | Action Items |
New Member Recognition | Secretary | |
Decide next meeting date | Chairman | |
Update "Action Items Closed Since Last Meeting" Redmine Filter 'Closed' date to be today's date | Chairman | |
Change Door Code | Secretary |
Discussion Topics
Action Items
Finance Committee
Monthly Treasurer's Report
As of the close of business on 01/31/2023:
- Assets: $7,494.45
- Redstone: $6,510.03
- PayPal: $984.42
- Income:
- Total: $2,003.16
- TNF: $159.76
- Retro Game Nigh (Cash Deposited):$159.76
- Vending (irregularly deposited): $120.00
- Interest Dividends: $0.27
- Membership: $1,543.13
- Total: $2,003.16
- Expenses
- $1,912.52
- Net Gain: $90.64
Facilities Committee
Improvements
Item | Responsible Parties |
---|
Planned Improvements
Item | Responsible Parties |
---|---|
Events
New Members
NOTE: All new members, meet with the Facilities Committee for your shop walk through.
- Aaron de Jager
- Zachary Hinkleman