___Chester County InterLink___ Statement of Activities - 1998 1/1/98 Through 12/31/98 01/01/98- % Category Description 12/31/98 of Total INFLOWS Deposit: 1998 Drive-Funddrive 1998 8,329.50 33.61% New User 1,711.00 6.90% Grants 12,800.00 51.65% User Donation-User donations 1,101.60 4.45% B-Com Promo-Software Promotion 210.00 0.85% 1997 Drive-Funddrive 1997 330.00 1.33% Interest-Interest Income 298.78 1.21% ============ ========== TOTAL INFLOWS $24,780 100.00%
OUTFLOWS
Consulting Services-Key Personnel 7,243.75 35.33% Event Related Expenses 87.29 0.43% Hardware Maintenance - Computer 303.00 1.48% Capital Expenditure - Computer 1,000.00 4.88% Insurance 1,380.00 6.73% Memberships & Affiliations 90.00 0.44% Office Supplies 151.75 0.74% Postage 381.96 1.86% Telephone - Installation Charges 192.79 0.94% Telephone - Long Distance 101.44 0.49% Telephone - Main Lines 9,299.83 45.37% Telephone - Freelink 257.59 1.26% Travel-Mileage Reimbursement 10.00 0.05% ============ ========== TOTAL OUTFLOWS $20,499.40 100.00% OVERALL TOTAL $ 4,281.48 100.00% Last updated 3/12/99
by Mark D. Sammarone,Treasurer