Difference between revisions of "Meetings/2025-02"
From Makers Local 256
< Meetings
(→Finance Committee: IT'S EARLY THIS MONTH!) |
(→New Members: add new members) |
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== New Members == | == New Members == | ||
NOTE: All new members, meet with the Facilities Committee for your [[Facilities_Committee_Page#New_Member_Shop_Walkthrough|shop walk through]]. | NOTE: All new members, meet with the Facilities Committee for your [[Facilities_Committee_Page#New_Member_Shop_Walkthrough|shop walk through]]. | ||
+ | * Connor Hogan | ||
+ | * Ash Valentine | ||
+ | * Katie Walker | ||
+ | * Vanesa Martin | ||
+ | * Rene Audain | ||
== Lost Members == | == Lost Members == |
Revision as of 20:30, 20 February 2025
Date/Location
- February 20, 2025
- 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 1/31/2024:
- Assets: $5,817.51
- Redstone: $4,517.84
- PayPal: $1,299.67
- Income:
- Total: $1,642.85
- TNF: $103.53
- Membership: $1,514.12
- Non-Member: $20.00
- Dividends: $0.20
- Total: $1,642.85
- Expenses
- $1,831.54
- Net Loss: $193.69
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.
- Connor Hogan
- Ash Valentine
- Katie Walker
- Vanesa Martin
- Rene Audain