CANMET Hamilton RE Sub-Group Treasurer Report - Tuesday November 28, 2023

Presented at Annual General Meeting (AGM)

Finance Report July 1, 2022 – June 30, 2023

  • This Finance Report consists of, as per PIPSC HQ’s requirement, activities and expenses in 12 months starting from July 2022 and ending at June 2023.
  • The carried-over balance on the sub-group account as of July 1, 2022, is $XXXX.XX. This includes the interest payments accrued over the year. Also, the Executive retained $XX in hand from previous year.
  • PIPSC approved the 2021-2022 Finance Reports. No annual allowance was added sine the balance was more than three-year allowance.

Main activities

  • The Executive had organized three in-person events in 2022-2023. The expense details of these activities are provided below:

Date

Event

Expense

Note

October 19, 2022

CMAT Welcome lunch event

$XXX.XX

This is the first in-person lunch and was co-supported by PIPSC and PSAC;

November 23, 2022

AGM

$XXX.XX

Food and room rental

December 13,2022

Holiday member event

$XXX.XX

 

Dec 12, 2022

Food Bank donation

$XXX.XX

 

 

 

$XXX.XX

This includes the cash in hand from previous year

 

  • The carried-over balance on the sub-group account as of June 30,2023 is $XXX.XX; this includes the interest payments.
  • All statements of the group bank account and all receipts for expenditures are available with the Treasurer for any member’s review at any time.

CANMET Hamilton RE Sub-Group

2023 – 2024 Annual Budget

Presented at

Annual General Meeting (AGM)

Wednesday November 23, 2022

July 1, 2023 – June 30, 2024

Date

Event

Budget

Note

October 2023

Lunch and learn

$XXX.XX

An open event for other union members;

November 2023

AGM

$XXX.XX

 

December 2023

Food Bank donation

$XXX.XX

 

March 2024

Lunch and Learn event

$XXX.XX

 

 

 

$XXXX.XX