Difference between revisions of "O&D Meeting 12/17/2024"
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== Membership Report == | == Membership Report == | ||
− | November membership is holding at 78 souls. | + | * November membership is holding at 78 souls. |
− | There was some churn. We lost one, gained one, several folks made up missing payments, and several folks missed paying during the month. | + | * There was some churn. We lost one, gained one, several folks made up missing payments, and several folks missed paying during the month. |
− | This is the link to the report: [https://drive.google.com/file/d/1T1Gz4mgSEvzVlBDg-3g9RyCVA6AOGYpI/view?usp=drive_link LVL1 - 2024 Membership Goal and Trend 202411.pdf] | + | * This is the link to the report: |
+ | **[https://drive.google.com/file/d/1T1Gz4mgSEvzVlBDg-3g9RyCVA6AOGYpI/view?usp=drive_link LVL1 - 2024 Membership Goal and Trend 202411.pdf] | ||
== Treasurer Report == | == Treasurer Report == | ||
− | As anticipated, November was cash negative: | + | * As anticipated, November was cash negative: |
− | + | ** Total REVENUE was $3,799.77, down from last month's stellar $4,941.12. | |
− | + | ** Total EXPENSE was ($4,911.64); the highest for the year, mostly due to ($1,589.87) spent on discretionary FAP Improvements | |
− | + | ** The NET for November was ($1,111.87) | |
− | In the big picture, the cumulative NET year-to-date is cash positive at $3,190.34. | + | * In the big picture, the cumulative NET year-to-date is cash positive at $3,190.34. |
− | This is the link to the report: [https://drive.google.com/file/d/10Y1q9cZcHmXTOs_p-0TMYQteANnX23gu/view?usp=drive_link LVL1-FinancialSummary-202410.pdf]. | + | * This is the link to the report: |
+ | ** [https://drive.google.com/file/d/10Y1q9cZcHmXTOs_p-0TMYQteANnX23gu/view?usp=drive_link LVL1-FinancialSummary-202410.pdf]. | ||
== New Business == | == New Business == |
Revision as of 06:57, 17 December 2024
Contents
Agenda
Old Action Items
- MemStim - Danielle/ Tif
- Talk to MemStim - Danielle
- Revision the Wavier Stuff - Raj Tabled until after lease
- Have more hack-a-thons. - Everyone
- Look at insurance stuff and Lease Stuff - Raj & Jim
- Purchase Air Compressor - Tif
- Sewing machine Fap Rerun - Table
- Pike 13 Dues stuff - Jim and Kevin P and Danielle
- Tell Members about the suspension of member and member himself - Danielle
- Email Parking QR Code people - Kevin F
- Do Ms. Blank's homework! - Everyone
Old Business
- Lease
- OOPS
- Dues increase
- Woodshop Flyer (Metal Shop Flyer?)
- Member Violation - odors in the space
- QR Qode Things
Membership Report
- November membership is holding at 78 souls.
- There was some churn. We lost one, gained one, several folks made up missing payments, and several folks missed paying during the month.
- This is the link to the report:
Treasurer Report
- As anticipated, November was cash negative:
- Total REVENUE was $3,799.77, down from last month's stellar $4,941.12.
- Total EXPENSE was ($4,911.64); the highest for the year, mostly due to ($1,589.87) spent on discretionary FAP Improvements
- The NET for November was ($1,111.87)
- In the big picture, the cumulative NET year-to-date is cash positive at $3,190.34.
- This is the link to the report: