Budget

Membership Renewal Reminder!

Clarification:  SLA has moved from calendar year to anniversary renewals. Some people who have joined SLA more recently will have renewal dates which correspond with the date they joined.  The important thing is that you have selected Illinois Chapter on your membership records! 

It's that time of year again - most SLA memberships are coming up for renewal! We know everyone's busy with the holidays coming up fast, but we thought you should know that our dues allotment - the operating funds which come from SLA Headquarters - are based on our membership count as of 12/31/06. In order to provide you with the best possible chapter services, we'd like to ask you to renew as soon as possible. If you have any questions, please contact:

Making Things Happen: How We Crunch The Numbers

By Janet Hartman, Budget and Finance Committee Chair

This is the time of year when we wrap up the chapter year with awards and elections and the annual meeting. But we also look forward to the next chapter year, and the chapter budget is essential to that process. We start in the spring and pass the budget by late summer, so that committees planning their activities for the year will have a framework to work within.

Last year, the budget committee doubled in size, with the addition of Maureen Malinowski. She’s learning the ropes of the budget process, and we work together with the Treasurer and the whole board.

Treasurer's Report: March 19, 2006

Submitted by Karen Krupka, SLA Illinois Chapter Treasurer

Treasurer's Report: February 14, 2006

Submitted by Karen Krupka, SLA Illinois Treasurer

Treasurer's Semi-Annual Report: July - December, 2005

Submitted by Karen Krupka, SLA Illinois Treasurer

Treasurer's Report - 10/22/05

Submitted by Karen Krupka, Treasurer

The chapter is currently in the process of relocating our checking account to a new bank. We ask for your patience should you notice any delay in depositing your checks. The new account should be open shortly.

Cash Flow, fiscal year to date
Balance as of 7/1/2005   34626.39
Bulletin
Bulletin Committee(76.81)
TOTAL Bulletin Expense  (76.81)
Gen Chap Expense
Awards & Gifts(70.88)
Directors(94.91)
Listserv(100.00)
Strategic Planning(13.36)
Student Outreach(500.00)
TOTAL Gen Chap Expense  (779.15)
Meeting Expense
Month Mtg Catering & Site(8097.89)
Month Mtg Regist Serv(375.00)
Month Mtg Speaker Fees&Travel(100.00)
Program Comm P&S(146.47)
TOTAL Meeting Expense  (8719.36)
Professional Development
Registration Services(198.00)
Other Meeting Expense:Prof Dev(990.00)
TOTAL Prof.

Treasurer’s Report: September 19, 2005

Submitted by Karen Krupka, Treasurer

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