SPACC 2025 BALANCE SHEET
AS AT DECEMBER 31, 2025
OPENING BALANCE $14,633.72
OPENING BALANCE: OPERATIONS $11,945.62
Income:
General Donations $ 3,252.76
Outreach, Food Bank 10,912.30
Outreach, Pride 8,087.80
Ottawa Bike Club 2,933.35
Yard Sales 2,434.35
Memorials --
Gifts In Kind --
Total Income $ 27,620.56
Expenses:
General $ 5,162.50
Property 2,371.51
Outreach, Food Bank 11,002.30
Outreach, Pride 7,562.08
Ottawa Bike Club 120.00
Fund Raising 1,008.50
Bank Fees 24.83
Memorials --
Gifts In Kind --
Total Expenses $27,251.72
CLOSING BALANCE: Operations $12,314.46
OPENING BALANCE: CAPITAL $ 2,688.10
Income:
HST $ 3,730.99
General Donations 5,000.00
Total Income $ 8,730.99
Expenses: $ 0.00
CLOSING BALANCE: Capital $ 11,419.09
CLOSING BALANCE $23,733.55