OBIN Finances


Financial Statements - 2019/2020

Ontario Basic Income Network (OBIN)        
         
         
Statement of Operations     2019-09-01 - 2020-08-31     2018-09-01-2019-08-31
Revenues        
Donations    $         685,00    $            596,00
Membership Dues    $         690,00    $              30,00
Externally Restricted Funds    $         995,02    $         3 500,00
      Total revenues    $      2 370,02    $         4 126,00
         
Expenses        
Publicity    $            75,00    
External Relations (Workshops, Lobby day)    $      2 149,23    $            477,14
Infrastructure (web site)    $         775,98    
Credit card transaction costs (STRIPE)    $              5,42    $                     -  
Bank charges   -$             3,00    $              28,50
      Total expenses    $      3 002,63    $            505,64
         
Net (Revenues - Expenses)   -$         632,61    $         3 620,36
         
         
Statement of Financial Position     2019-09-01 - 2020-08-31     2018-09-01-2019-08-31
         
Assets        
Cash (Fund balances, at year end)    $      2 987,75    $         3 620,36
     Total Assets    $      2 987,75    $         3 620,36
         
Liabilities        
Accounts payable and accrued liabilities    $                   -      $                     -  
     Total Liabilities    $                   -      $                     -  
         
Fund Balances        
Operating fund balance at begining of fiscal year    $      3 620,36    $                     -  
Net Income (Loss)   -$         632,61    $         3 620,36
     Total Fund Balances    $      2 987,75    $         3 620,36
         
Total Liabilities and Fund Balances    $      2 987,75    $         3 620,36
         
         
         
Externally restricted fund     2019-09-01 - 2020-08-31     2018-09-01-2019-08-31
Balance at the beginning of the year    $      3 500,00    $                     -  
Plus:  contributions received during year    $         995,02    $         3 500,00
Less: amounts recognized during the year   -$     2 411,75    $                     -  
Balance at the year end    $      2 083,27    $         3 500,00
         

Budget - 2019/2020

Each member of the C-Team prepared a budget based on their planned activities for this fiscal year (1 Oct - 30 Sept). Actual expenditures will be matched against this budget forecast.

Coordinator
Item Amount Details
Facilitator Website / database $200 NationBuilder
  Development / maintenance $275 Consulting
  Banking $100 Service charges
  Materials $150 Materials for indication of interest
  Sub-total $725  
Promotions and Communications Travel $800 Gas and incidentals for 5 trips, including hotel if necessary for one trip
  Facebook Ads $100 Cost of five Facebook ads at $20
  Supplies $150 Printing of resources (info sheets, toolkits, etc.)
  Events $100 Food for events held
  Sub-total $1,150  
External Relations Two workshops $6,000  
  Ottawa lobby day $6,500  
  Sub-total $12,500  
Internal Relations Travel $1,200 Trip through Barrie to Sudbury and Timmins, Sarnia and Windsor. Pop in to visit established groups along the way, including Niagara.
  Sub-total $1,200  
  Budget Total $15,575