VTDA Financial Report 1998
| ANNUAL REPORT | |||||
| VICTORIAN HARNESS RACING | |||||
| TRAINERS & DRIVERS ASSOCIATION | |||||
| STATEMENT OF INCOME & EXPENDITURE | |||||
| AS AT 30/06/98 | |||||
| 1997/98 | 1996/97 | ||||
| INCOME | |||||
| Sponsorship | $200.00 | ||||
| Subscriptions | $270.00 | $100.00 | |||
| Interest Earned | $0.28 | $6.16 | |||
| $470.28 | $106.16 | ||||
| EXPENDITURE | |||||
| Office of Fair Trading | |||||
| Annual General Meeting Expenses | $70.00 | ||||
| Badge Clips | $319.00 | ||||
| Trophies/Rugs | $186.80 | $81.96 | |||
| Stationary and Postage | $75.00 | ||||
| Wreaths/Death Notices | $114.00 | $134.00 | |||
| Bank/Government Charges | $1.64 | $2.77 | |||
| $302.44 | $682.73 | ||||
| Deficit of Income over Expenditure | $167.84 | ($576.57) | |||
| STATEMENT OF ASSETS | |||||
| Balance as at 30/06/97 | $164.36 | $740.93 | |||
| Deficit for the Year | $167.84 | ($576.57) | |||
| Balance as at 30/06/98 | $332.20 | $164.36 | |||
| Represented By: | |||||
| Cheque Account - 30/06/98 | $332.20 | $164.36 | |||
| Cash on Hand | |||||
| $332.20 | $164.36 | ||||