Apr 1, 1998 HAL-PC Page 1 4:23 am STATEMENT OF REVENUES AND EXPENSES 1 Month Ended 9 Months Ended February 28, 1998 February 28, 1998 ============ ===%=== ============ ===%=== REVENUES Interest income $1,105 0.8% $10,581 0.9% Presentation fees 4,167 3.0% 62,629 5.3% Vendor fees 2,265 1.6% 15,241 1.3% Shortage 0 0.0% -0 -0.0% External Internet feeds 850 0.6% 4,850 0.4% Revenue - Other 195 0.1% 779 0.1% Donations to HAL-PC 95 0.1% 690 0.1% Rental income - Headquarters 400 0.3% 400 0.0% Rental income - Special events 0 0.0% 795 0.1% Advertising - Magazine 11,962 8.7% 88,215 7.4% Annual dues 36,836 26.8% 327,466 27.7% BBS class fees 0 0.0% 411 0.0% Internet setup fees - Exempt 0 0.0% 225 0.0% Internet monthly fees - Exempt 1,240 0.9% 12,820 1.1% Web Site Workshop 150 0.1% 1,050 0.1% Donations to HAL-PC Clear Lake 200 0.1% -402 -0.0% Daytime Workshop class fees 2,750 2.0% 16,765 1.4% HAL-PC Clear Lake class fees 1,120 0.8% 6,070 0.5% Exempt pipeline sales 0 0.0% 2,097 0.2% Taxable revenues CD-ROM sales 819 0.6% 6,012 0.5% Electronic parts sales 481 0.3% 26,591 2.2% Digital camera sales 159 0.1% 9,075 0.8% Internet setup fees 11,071 8.0% 93,819 7.9% Internet setup fees-Clear Lake 315 0.2% 1,140 0.1% Internet monthly fees 59,036 42.9% 489,553 41.3% Internet monthly fees - CL 220 0.2% 940 0.1% Pipeline sales 612 0.4% 3,109 0.3% Monitor sales 0 0.0% 1,160 0.1% Phone line sales 640 0.5% 640 0.1% Refreshment sales 0 0.0% 346 0.0% Shirt sales 0 0.0% 174 0.0% Study guide sales 947 0.7% 947 0.1% Videotape sales 0 0.0% 49 0.0% ------------ ------------ TOTAL Sales Taxable For Sales Tax 74,299 54.0% 633,556 53.5% ------------ ------------ TOTAL REVENUES 137,633 100.0% 1,184,237 100.0% ------------ ------------ ****** NET REVENUES 137,633 100.0% 1,184,237 100.0% ------------ ------------ Cost of Goods Sold Digital camera sales cost 0 0.0% 10,540 0.9% FOR DISCUSSION PURPOSES ONLY Apr 1, 1998 HAL-PC Page 2 4:23 am STATEMENT OF REVENUES AND EXPENSES 1 Month Ended 9 Months Ended February 28, 1998 February 28, 1998 ============ ===%=== ============ ===%=== CD-ROM sales cost 879 0.6% 6,389 0.5% Monitor sales cost 0 0.0% 1,888 0.2% Electronic parts sales cost 1,244 0.9% 27,889 2.4% Study guide sales cost 776 0.6% 2,448 0.2% Refreshment sales cost 0 0.0% 734 0.1% Shirt sales cost 0 0.0% 192 0.0% ------------ ------------ TOTAL Cost of Goods Sold 2,898 2.1% 50,079 4.2% ------------ ------------ ****** ADJUSTED NET REVENUES 134,735 97.9% 1,134,158 95.8% ------------ ------------ EXPENSES Accounting 3,624 2.6% 26,519 2.2% Advertising 0 0.0% 47,576 4.0% Audio visual 6,975 5.1% 57,474 4.9% Awards 41 0.0% 41 0.0% Bad debts 0 0.0% 2 0.0% Bank charges 0 0.0% 25 0.0% Color proofs 21 0.0% 238 0.0% Credit card expense 2,704 2.0% 15,517 1.3% Contract labor 1,635 1.2% 13,845 1.2% Decorations, chairs & tables 493 0.4% 9,350 0.8% Delivery service 260 0.2% 1,389 0.1% Depreciation and amortization 660 0.5% 5,940 0.5% Amortization expense leasehold 1,399 1.0% 12,593 1.1% Dues & subscriptions 10 0.0% 84 0.0% Duplication services 195 0.1% 773 0.1% Electrical 997 0.7% 19,229 1.6% Electronic parts 328 0.2% 15,157 1.3% Employee payroll 3,843 2.8% 38,700 3.3% Entertainment and meals 585 0.4% 9,504 0.8% Equipment rental 91 0.1% 846 0.1% First aid services 120 0.1% 720 0.1% Freight 75 0.1% 1,028 0.1% Information services 10 0.0% 145 0.0% Insurance - Other 0 0.0% 14,897 1.3% Interest expense 9 0.0% 30 0.0% Licenses and fees 3,230 2.3% 26,755 2.3% Management fees 3,500 2.5% 24,500 2.1% Manuals 1,237 0.9% 6,554 0.6% Maintenance 49 0.0% 3,869 0.3% Miscellaneous 120 0.1% 219 0.0% Moving expense 0 0.0% 9,304 0.8% Office supplies and expense 992 0.7% 6,944 0.6% Parking 55 0.0% 200 0.0% Payroll taxes 304 0.2% 2,984 0.3% FOR DISCUSSION PURPOSES ONLY Apr 1, 1998 HAL-PC Page 3 4:23 am STATEMENT OF REVENUES AND EXPENSES 1 Month Ended 9 Months Ended February 28, 1998 February 28, 1998 ============ ===%=== ============ ===%=== Penalties -31 -0.0% 15 0.0% Photography 30 0.0% 292 0.0% Plaques, trophies & awards 0 0.0% 8 0.0% Postage 3,280 2.4% 25,741 2.2% Printing 11,386 8.3% 87,391 7.4% Promotions 0 0.0% 610 0.1% Rent - Headquarters 0 0.0% 16,560 1.4% Rent - General meeting 2,500 1.8% 27,500 2.3% Rent - Vendor areas 1,200 0.9% 6,100 0.5% Rent - Special events 0 0.0% 1,500 0.1% Repairs 0 0.0% 1,081 0.1% Security and patrol 200 0.1% 2,081 0.2% Small tools and equipment 217 0.2% 863 0.1% Software purchases 62 0.0% 5,299 0.4% Spares 0 0.0% 10,620 0.9% Supplies 285 0.2% 3,447 0.3% Telephone 15,554 11.3% 115,427 9.7% Travel 34 0.0% 10,747 0.9% ------------ ------------ TOTAL EXPENSES 68,281 49.6% 688,232 58.1% ------------ ------------ ****** OPERATING REVENUES 66,454 48.3% 445,927 37.7% ------------ ------------ Other Income & Expenses A/P discounts 15 0.0% 61 0.0% Budgeted equipment purchases -18,785 -13.6% -176,560 -14.9% ------------ ------------ TOTAL Other Income & Expenses -18,770 -13.6% -176,498 -14.9% ------------ ------------ ****** REVENUES OVER (UNDER) EXPENSES 47,684 34.6% 269,428 22.8% ------------ ------------ ****** NET REVENUES OVER (UNDER) EXPENSES $47,684 34.6% $269,428 22.8% ============ ============ FOR DISCUSSION PURPOSES ONLY
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