IOWA PARROT RESCUE FINANCIAL STATEMENT 2007
Income
cash donations...............8,788.00
stock donation..............65,582.10
sales..................................702.02
boarding fees....................900.00
travel reimbursement........325.00
total money receipts......................76,297.12
in kind donations...........1,367.00
Expense
travel..............................2085.76
maintainence...................513.35
goods and supplies..........276.06
postage/shipping...............57.39
equipment/materials......2616.95
food................................3234.97
medical..........................4608.32
total expenses...............................12,812.95
In Reserve 12/31/07
CDs...............................55,000.00
passbook account...........7404.32
checking...........................500.00
total reserve................................62,904.32
Debt
outstanding debts...............................0.00
2022 Statement
2021 Statement
2020 Statement