Meetings/2014-05
From Makers Local 256
Date/Location
- May 14, 2014
- 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 |
Action Items
Treasurer's Report
Finance Committee
Finances
- Term: May 2014
- Donations: $0
- Members: $1006.54 (38)
- Net Profit: $658.03
- Expenses: $363.51
- USPS PO Box Bill: $62
- April 2014 Utilities: $301.51
- Term: April 2014
- Donations: $325.65
- Credit Dividend : $1.45
- Random Donation (Ilmar Luik): $5
- Random Donation: $15
- Recycling Cans: $18.2
- April 8, 2014 Coke Machine: $286
- Members: $1347.99 (56)
- Net Profit: $-1290.03
- Expenses: $2809.98
- May 2014 Rent: $900
- April 2014 Dumpster: $65
- May 2014 Cable: $87.95
- RapidSSL Renewal - Nathan Warner Reimbursed: $10.95
- Insurance: $450
- March 2014 Utilities: $262.61
- Support@NameCheap.com (domain names X1 year) - Nathan Warner Reimbursed: $34.51
- Shelves Grant Reimbursement to Phil Showers: $98.96
- April 2014 Rent: $900
- Facilities Fund Expenses:
- Reimbursement to Daniel - Lighting Stuff: $408.31
- Donations: $325.65
Facilities Committee
Improvements
Planned Improvements
Item | Responsible Parties |
---|---|
Events
New Members
- Daniel B C Rhodes
NOTE: All new members, meet with the Facilities Committee for your shop walk through.