SAMA Canada Financial Report
2023 Financial report | |
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2023 Beginning Balance (Bank Account) | CAD 3,150.06 |
2023 Donations | CAD 2,577.58 |
2023 Paypal/Bank Fees, Web Domain renewal for 2 years | CAD (76.18) |
Balance as of July 31 2023 | CAD 5,651.46 |
For list of SAMA-Canada donors, please visit Donor List
2022 Financial report | |
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2022 Beginning Balance (Bank Account) | CAD 4.06 |
2022 SAMA-Canada Walk Donations | CAD 3,393.50 |
2022 Paypal/Bank Fees, Interest | CAD (247.50) |
2022 End Balance | CAD 3,150.06 |
For list of SAMA-Canada donors, please visit Donor List
2021 Financial report | |
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2021 Beginning Balance (Bank Account) | CAD 2,554.11 |
2021 SAMA-Canada Walk Donations | CAD 3,630.39 |
2021 Other Donations | CAD 555.00 |
Project anti-decubitus mattresses to Pirot General Hospital | CAD 6,664.89 |
2021 Paypal/Bank Fees, Interest | CAD (70.55) |
2021 End Balance | CAD 4.06 |
For list of SAMA-Canada donors, please visit Donor List
2020 Financial report | |
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2020 Beginning Balance (Bank Account) | CAD 1,315.00 |
2020 Other Donations | CAD 1250.00 |
2020 Paypal/Bank Fees, Interest | CAD (10.67) |
2020 End Balance | CAD 2,554.11 |
2019 Financial report | |
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2019 Beginning Balance (Bank Account) | CAD 1,776.87 |
2019 Donations | CAD 4,059.69 |
Project Kraljevo – Infusion Pumps | CAD (4,511.56) |
2019 Paypal/Bank Fees, Interest | CAD (0.00) |
2019 End Balance | CAD 1,315.00 |