O&D Meeting 12/17/2024

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Revision as of 06:56, 17 December 2024 by JimD (talk | contribs)
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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: LVL1 - 2024 Membership Goal and Trend 202411.pdf

Treasurer Report

As anticipated, November was cash negative: (1) Total REVENUE was $3,799.77, down from last month's stellar $4,941.12. (2) Total EXPENSE was ($4,911.64); the highest for the year, mostly due to ($1,589.87) spent on discretionary FAP Improvements (3) 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: LVL1-FinancialSummary-202410.pdf.

New Business

Round Table

Action Items for Next Meeting

Minutes