Page 26 - 2017-18 Annual Report_For Flip Book
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SUPERHERO TEAM WORK

                                                                                                                       FINANCIALS
                                                                                                                      FINANCIALS



           2017-18 Executive Committee

                                                                                                                       Statement of Financial Position

                                                                                                                       For the year ended June 30, 2018 and June 30, 2017
                                                                                                                       ASSETS                                2018         2017
                                                                                                                         Cash and cash equivalents         258,198      207,382
            ARUN MURALI     BARB AUSTIN   CHRIS BRADBURN     PAM EADS     JAMIE SAMUELS                                  Pledges and receivables            30,150       17,446
               President     Vice President   Treasurer       Secretary       At Large                                    Investments                     1,725,169    1,629,146
           2017-18 Board of Directors                                                                                     Indianapolis Foundation          854,894      846,736
                                                                                                                          Office equipment                   7,883        2,999
                                                                                                                          Accumulated depreciation          (1,175)        (875)
                                                                                                                         TOTAL ASSETS                     2,875,119    2,702,834

                                                                                                                       LIABILITIESLiabilities
                                                                                                                         Programs payable                   51,236       42,355
                                                                                                                         Salaries payable                   16,554           0
           BRYAN DANDRIDGE  AMANDA ERSCHEN   DICK FREIJE  MICHAEL GIBSON  LORENE GRAVES                                  TOTAL LIABILITIES                    67,790     42,355

                                                                                                                          Unrestricted                     128,916      113,055
                                                                                                                          Temporarily restricted          1,450,031    1,319,042
                                                                                                                          Permanently restricted          1,228,382    1,228,382
                                                                                                                         TOTAL NET ASSETS                 2,807,329    2,660,479
                                                                                                                       TOTAL LIABILITIES & NET ASSETS     2,875,119    2,702,834

           JENNY GUIMONT     LIZ KHAMIS    MARTA LAWRENCE  WENDY MUSTON     JEN PHELPS
                                                                                                                       Statement of Activities
                                                                                                                       For the year ended June 30, 2018 and June 30, 2017
                                                                                                                       REVENUEe                              2018         2017
                                                                                                                       Contributions                       507,644      654,570
                                                                                                                          Special fundraising events       261,262      247,690
                                                                                                                          Investment income (loss)         211,259      265,822
                                                                                                                          TOTAL REVENUE                    980,165     1,168,082
             JILL SAWYER   DR. SHAWN SMITH    JEFF YU

           We Welcome Our New 2018-2019 Board Members       2018-2019 LTSF Staff                                       EXPENSESxpenses
                                                                                                                         Grants and programs
                                                                                                                          Grants                            26,499       26,500
                                                                                                                          Less prior year grants expired    (4,131)      (1,770)
                                                                                                                          Scholarships                      40,214       40,698
                                                                                                                          Programs and awards              415,967      586,840
                                                                                                                         Special fundraising events                                        183,432   169,980
                                                                                                                         Development & Administration
             DAVID BLOUNT   DAMON CLARK    BRIAN GREIWE        CORI KORN   ANGIE MCINTYRE    NANCY LISS                   Salaries                         119,242       97,662
                                                             Executive Director  Executive Director  Programs             Office expense                    11,263        9,641
                                                                             of Operations    Coordinator
                                                                                                                          Professional fees                  6,500        6,140
                                                                                                                          Marketing                          2,812         892
                                                                                                                          Depreciation                        300          300
                                                                                                                          Bank/Investment mngmt fees        23,274       21,930
                                                                                                                          Other expense                      7,943        7,890
                                                                                                                         TOTAL EXPENSES                    833,315      966,703
            IVAN HOFFMAN     KEN MEEKS     MATT WAINSCOTT                                                              CHANGES IN NET ASSETS               146,850      201,379
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