Annual Report 2009-10

Finances Overview 2009 – 2010

Profit/Loss

IN                                                        $135,650

OUT                                                    $139,895

Loss  $        -4,245

Fixed Costs

Our drawings                                         $24,300

Fixed Costs (excluding wages)            $60,380

Total   $84,680

Variable Costs

Costs Specific to Rides                         $18,169

Wages (excluding drawings)              $35,693

Total   $43,862

Notes:

The OUT and total Cost don’t quite match.  The ways of extracting the data have different ways of including things eg horse sales.  The Profit and loss account show a loss of $2,624 a slightly different figure again.

Overnight Rides

There is a clear description in Marketing of how we made $24,000 on the overnight rides.

MoneyWorks Plans

We will update to using Products and departments.  We will also get more specific information about wages with respect to products.

Report files

There are a series of files that make up this report. Links below.

Click on the Detail link for a summary.

Walter – Finance manager

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