Cash Flow Report
2/ 1'02 Through 1/31'03
COUNCIL-Bank, Cash, CC Account Page 1
2/ 8'03
2/ 1'02-
Category Description 1/31'03
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INFLOWS
INCOME:
National Rebate 843.00
PERCAPITA 4,848.86
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TOTAL INCOME 5,691.86
Inflows - Other 14,559.21
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TOTAL INFLOWS 20,251.07
OUTFLOWS
Administrative Exp:
Bank Charges 74.46
Communications 260.04
Council Meeting Exp 2,142.71
EBoard $500 1,283.65
Office Expenses:
Equipment 778.67
Postage 45.39
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Total Office Expenses 824.06
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Total Administrative Exp 4,584.92
Training Expenses:
Officer Training:
Fees & Misc 1,500.00
PerDiem 767.52
Travel 359.70
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Total Officer Training 2,627.22
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Total Training Expenses 2,627.22
Travel Expenses:
Fees & Misc 200.00
PerDeim 4,244.74
Travel Costs 2,198.55
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Total Travel Expenses 6,643.29
Outflows - Other 0.00
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TOTAL OUTFLOWS 13,855.43
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OVERALL TOTAL 6,395.64
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