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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
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