Profit and Loss Statement

Category Description 1/4/97-31/3/98 1/4/98-31/3/99



INFLOWS
Bank Income:
Interest 30.10 0.00


TOTAL Bank Income 30.10 0.00
Meeting Income:
Member Registrations:
December 775.00 0.00
March 725.00 0.00
May 950.00 0.00
Nov DBCTL 145.00 0.00
September 825.00 0.00


TOTAL Member Registrations 3420.00 0.00


TOTAL Meeting Income 3420.00 0.00


TOTAL INFLOWS 3450.10 0.00
OUTFLOWS
Chair's Expenses 30.00 0.00
Meeting Expenses:
Committee 8.23 0.00
Organisers Expenses 69.20 0.00
Venue Expenses:
December 439.74 0.00
March 757.87 0.00
May 903.25 0.00
Nov DBCTL 138.70 0.00
September 647.43 0.00


TOTAL Venue Expenses 2886.99 0.00


TOTAL Meeting Expenses 2964.42 0.00
Uncategorised Outflows 0.00 0.00


TOTAL OUTFLOWS 2994.42 0.00


OVERALL TOTAL 455.68 0.00