Expense Reports

The Expense Reports section provides detailed financial summaries showcasing how GMTS utilizes its funds. These reports promote transparency and accountability by offering members insights into annual budgets, event-specific expenses, and organizational spending.

Income & Expense Statement for the year ending 31st December 2015 
IncomeAmount         ExpensesAmount 
Opening Balance as of 01/01/2015 $            5,441.70Rentals for Auditoriums & Parks $           2,040.00 
Ticket Sales Income $           3,943.00Event Food expenses $           8,736.31 
Membership Fees Income $           5,035.00Community Recognition Awards $             209.24 
Sponsorship Income $            6,073.00*Website Maintenance Fees $             445.00 
Raffel Income $               287.00Paypal Fees paid $             406.63 
Chennai Flood Relief Donations $       25,549.34Raffel  Expenses $              48.00 
Interest income from US Bank checking account $                  2.53Entertainment Expenses $              1,900.00 
Miscellaneous Income $             130.00Non Profit Filling Fees $             10.00 
  Chennai Flood Relief Disbursement $             18,000.00 
  Printing & Stationery expenses $            59.62 
     
Total Income for 2015 $          46,461.57Total Expenses for 2015 $                               31,854.80 
Net Income/Closing Balance (as of 12/31/2015)   $       14,606.77 
     
Break up of closing balance for 2015    
Balance in US Bank Account $           14,081.43   
Cash on hand $               301.00   
Balance in Paypal $               224.34   
     
Total available fund as of 12/31/2015 $           14,606.77   
*Prepaid till August 2016    
     
Reviewed and approved    
     
     
Satish Venugopalan                                       Saravanan SadhasivamGopinath DhakshinmurthyRaghunathan Rajagopalan  
President                                                            Secretary                 Vice PresidentTreasurer  
     
Date : 12/31/2015    
Income & Expense Statement for the year ending 31st December 2014
IncomeAmountExpenseAmount
Opening Balance as of 01/01/2014 $ 4,149.97Rentals for Auditoriums & Parks $  1,348.75
Ticket Sales Revenue $ 3,945.00Event Food expenses $   4,547.93
Membership Fees Revenue $ 3,325.00Community Recognition Awards $     373.10
Sponsorship $ 2,450.00Emergency Fund expenses $ 2,177.64
Donations $     56.00Paypal Fees paid $     115.97
Emergency Fund Contributions $ 1,001.00Miscellaneous Expenses $     991.26
Interest income from US Bank checking account $       1.38Event Ticket fee write off $       32.00
    
Total Income for 2014 $15,028.35Total Expense for 2014 $  9,586.65
Net Income (as of 12/31/2014)   $  5,441.70
    
Break up of closing balance cash for 2014   
US Bank Account $  5,240.05  
Cash on hand $     81.00  
Balance in Paypal $     120.65  
    
Total available fund as of 12/31/2014 $  5,441.70  
    
    
Reviewed and approved   
    
   Raghunathan Rajagopalan
Satish Venugopalan                  Gopinath DhakshinamurthySaravanan Sadhasivam 
President                                                          Vice-PresidentSecreatary Treasurer
    
Date : 12/31/2014