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Rotary Club of Thane Midtown Charity Trust
Budget for the period 1st April, 2019 to 31st March 2020
Amount (Rs) Amount (Rs)
Receipts
Opening Balance in the Bank 190,000.00
Donations from Members for Projects 30,000.00
Fund raising through program 250,000.00
New Members Corporus 10,000.00
Interest on FDs 75,000.00
Other Corpous 22,000.00
Total 577,000.00
Expenses
Fund raising Expenses 180,000.00
New Members pin and stationery 4,000.00
Project funding to the President 75,000.00
Other Projects Expenses 25,000.00
Other Projects Expenses 30,000.00
Professional Fees for Obtaining 80 G Registration etc 50,000.00
Miscellenous Expenses 15,000.00
Total 379,000.00
Receipts over Expenses 198,000.00