Nice work, Melissa! I think including the info about AmazonSmile, corporate
matching, and tax-deductible donations in a second email (sent a day or two
after the financial report, maybe) as a follow-up would be a good idea.
Jessica
On Nov 7, 2022, 8:36 PM -0600, Warren Gill <mymaestro@xxxxxxxxx>, wrote:
Wow, excellent work!
Personally, I think you can shorten the announcements to, "I sent you all an
e-mail to discuss our finances. Please read it, and ask me any questions you
have... and by the way, pay your dues by check or PayPal."
Any more than that, people are already checked out and headed for the door
(or their virtual door, the cell phone).
- correct/add numbers per Mike Bell's response
- probably should say "the pandemic" rather than covid
Peace,
W
On Mon, Nov 7, 2022 at 5:13 PM Melissa Kunkel <mkunkel725@xxxxxxxxx> wrote:
Hi board,
Here's a draft of the email I'd like to send to the band about our
finances last year. Let me know if there are any changes you'd like me
to make or anything you think I should add. I put the numbers at the end
of the email (since it's just the summary, it felt weird only putting
that in a google doc) to make sure people actually read the words. It's
not a short email, so please let me know if you have any ideas on how to
encourage people to actually read it, haha.
Once I send this out, it would be nice to announce the basics of the
email during rehearsal break. I know we're trying to keep breaks short
before performing at Zilker, but essentially I'd like to say:
a) read the email
b) City grants will be limited/nonexistant this year, so we need $$
c) start using Amazon Smile and check with your employer if they do any
kind of corporate matching/donations
d) let the board or Melissa know if you have any other ideas for
fundraising or saving $$
e) talk to Melissa if you have any questions
~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~
Hi band,
In an effort to be more transparent, below is a summary of where we
received and spent money for our 2021-2022 financial year. As a
reminder, due to covid, we only played Spring and Independence day
concerts during that year.
A couple of things to note about the numbers:
1. We operated at a $4,000 deficit last year. Obviously, to be
sustainable, we need to break even each year.
2. The City of Austin is restructuring its arts grant program starting
this year. In the (pre-pandemic) past, we were receiving ~$10k in grant
money from the city each year. That grant program was very limited last
year (we got $600) since it is funded by hotel taxes and hotels weren't
making much money then, but we were able to apply for and receive an Arts
Community Relief Grant from the city for $5.3k, in addition to the normal
arts grant.
With the restructuring of the grant program this year, we are expecting
to get much less, if any, grant money from the city.
This essentially means we need to find ways to either reduce our spending
or start bringing in an additional $10k each year.
So... what are some things you can do to help?
1. If you're not already, please support ACWE through Amazon Smile
Every time you purchase something from Amazon using the
smile.amazon.com site instead of amazon.com, Amazon will donate a small
percentage of your purchase amount to the charity you specify. Start
using Amazon Smile to support ACWE here:
https://smile.amazon.com/ch/74-1844898
2. Check with your employer to see if they do any kind of corporate
donations or matching that could benefit ACWE. In the past, some
companies have given donations to organizations where employees donated
their time (aka came to rehearsal)
3. Let me (Melissa) or anyone on the board know if you have any ideas
for fundraising.
If you have any questions, feel free to reach out to me either via email
(acwetreasurer@xxxxxxxxx) or in person at rehearsal.
Thanks!
Melissa Kunkel
ACWE Treasurer
ACWE Financial Statement
9/1/2021 - 8/31/2022
Income
Grants $5,965.15
Concert Donations $1,335.81
General Donations $796.84
Member Dues '21-'22 $2,669.81
Member Dues '22-'23 $306.25
Misc. Income $109.00
Total Income $11,182.86
Expenses
Concert Space Rental ($2,371.95)
Rehearsal Space Rental ($800.00)
Storage Unit Rental ($2,436.64)
Music Purchase/Copies ($1,859.97)
ACWE Shirts ($826.25)
Other ACWE materials ($1,313.31)
Staff ($700.00)
Social Events ($161.69)
Insurance ($3,414.00)
TCMF ($1,571.24)
Misc. Expenses ($3.51)
Total Expenses ($15,458.56)
Net ($4,275.70)
Checking account as of 8/31/2021 $37,829.87
Checking account as of 8/31/2022 $31,824.92
Paypal account as of 8/31/2022 $306.25
Cash reserves on 8/31/2022 $1,423.00
Total Monetary Assets $33,554.17