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FINANCIAL REPORT

As of December 31, 2023

3,500
Source of Funds: 8,600
Membership Fee 12,100
Annual Dues
1,390
5,070
Uses of Funds: 861
Office Supplies 661
Travelling Expenses 670
BOT’s Meeting 1,000
Tax and Licenses 9,652
Processing Fee 2,448
Profiling Fee
2,448
14,257
10,000
Increase / Decrease 26,705
Add Beginning Balance 2022
Cash in Bank
Total Cash Balance

Prepared by: Audited by:


PRELYN A. GEDORIA LEONIDA P. ANTONIO
BIFA Treasurer BIFA Auditor

Noted by:
ROBERTO ALMIRANTE
BIFA President
FINANCIAL REPORT
As of December 31, 2023

Prepared by: Audited by:


PRELYN A. GEDORIA LEONIDA P. ANTONIO
BIFA Treasurer BIFA Auditor

Noted by:
ROBERTO ALMIRANTE
BIFA President

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