IOWA PARROT RESCUE FINANCIAL STATEMENT 2008
Starting balance .....................................................................62,904.32
Income
cash donations.............27,216.00
sales................................1,752.00
interest............................1,481.23
boarding fees..................1,200.00
travel reimbursement.......425.00
total money income...............................................................32084.23
in-kind donations................7134
Expense
travel...............................2340.91
goods and supplies.........1075.86
postage/shipping.................86.94
equipment/materials......4611.57
food..................................3477.67
medical..............................828.91
insurance.........................435.50
waste diposal fees.............32.47
fuel and utilities............1830.22
loan payment..................400.00
construction costs......90780.26
total expense..................................................................105,100.31
year end balance.............................................................-10,111.76
2022 Statement
2021 Statement
2020 Statement