Revenues and Expenditures  
      Dépannage Saint-Agapit Inc Welcome

Revenues and expenditures

We present here our revenues and expenditures for the financial year ending Sept. 30, 2018.

Dépannage St-Agapit Inc.
Results: October 1, 2017 to September 30, 2018

  REVENUES    
  Donations for Dépannage St-Agapit    
 
  • Diverse foodstuffs (Evaluation)
  • Private individuals
  • Public institutions
  • Ville de Deux-Montagnes (Bus tickets)
  • Businesses
  • OSBL        
  • Foundations      
  • Anonymous

48 807,29
20 632,71
13 900,00
2 032.75
2 301,00
0,00
3 300,00
6 290,67

 
  Other revenues
0,00
 
  Total - Donations received  
94 964,42
  TOTAL REVENUES  
94 964,42
       
  EXPENDITURES    
  Expenses - St-Agapit Emergency Assistance    
 
  • Emergency food assistance           
  • OSBL grants
  • Miscellaneous
  • Bus tickets

15 818,70
0,00
55,00
2 032,75

 
  Total emergency assistance  
17 906,45
  Christmas baskets    
 
  • Miscellaneous foodstuffs
  • Perishable foodstuffs
  • Gift certificates
  • Publicity
  • Collection boxes and cans    

48 000,00
2987,33
12 500,00
1 926,53
0,00

 
  Total - Christmas baskets  
65 413,86
  Expenses - Back to school help  
 
  • Gift certificates
  • Other expenses
11 520,00
0,00
 
  Total - Back to school help  
11 520,00
  Banking fees  
15,00
  Office expenses  
1 147,31
  Constitution fees  
0,00
  Other expenses  
288,30
  Total expenditures - Dépannage Saint-AgapitSt-Agapit  
96 290,92
  TOTAL EXPENDITURES  
96 290,92
     
  NET BENEFIT / (DEFICIT)  
-1 326,50