Page 6 - 2019 Annual Report
P. 6

2019 INCOME AND EXPENSES                                                           INCOME AND ENDOWMENT DRAW
                                Unaudited Financial Statements


               OPERATING INCOME & ENDOWMENT DRAW
                                                                                                     Municipal                                     Annual Fund, 16%
               Annual Fund                        $         74,549.00  16%                       Appropriations, 24%
               Endowment & Major Donors           $       212,431.00  44%
               Friends of the Athenaeum           $         14,985.00   3%
               Gallery/Gift Shop                  $         13,902.00   3%
               Grants/Program Support             $         22,794.00   5%
               Library Services                   $         14,975.00   3%
               Fundraising Events                 $         12,321.00   3%
               Municipal Appropriations           $       115,000.00  24%                  Fundraising Events,
                                                                                                3%

               Total Income                       $       480,957.00  100%                 Library Services, 3%


               OPERATING EXPENSE                                                               Grants/Program
                                                                                                Support, 5%
               Administrative                     $         46,673.00   9%
               Depreciation                       $         80,000.00  15%                      Gallery/Gift Shop,
                                                                                                     3%
               Development & Marketing            $         78,616.00  15%                             Friends of the                                    Endowment &
               Facilities                         $         69,412.00  13%                            Athenaeum, 3%                                    Major Donors, 44%
               Library Services                   $       196,047.00  37%
               Operations (Athenaeum/Friends)     $         26,121.00   5%
               Programs                           $         33,812.00   6%
                                                                                                                              EXPENSE

               Total Expense                      $       530,681.00  100%
               Net Operating Income               $       (49,724.00)
                                                                                                        Operations   Programs, 6%         Administrative, 9%
                                                                                                   (Athenaeum/Friends), 5%
               OPERATIONS & FRIENDS ONLY
               TOTAL BALANCE SHEET 2019
               Cash                               $         59,530.00
               Pledge Receivables                 $         11,250.00                                                                                      Depreciation, 15%
               Current Assets                     $         14,480.00
               Fixed Assets, net of depreciation  $    1,851,630.00
               Beneficial Interest in Trust       $    2,027,642.00
               Vermont Community Foundation       $         32,088.00
               Unrestricted  Investments          $    3,867,342.00
               Permanently Restricted Investments (Income   $       290,663.00
               Only)                                                                         Library Services,
                                                                                                  37%                                                        Development &
               Total Assets                       $    8,154,625.00                                                                                         Marketing, 15%

               Liabilities                        $       109,262.00
               Equity                             $    8,045,363.00
               Total Liabilities and Equity       $    8,154,625.00
                                                                                                                                           Facilities, 13%
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