perm filename LAUNDR[L70,TES] blob
sn#022932 filedate 1973-02-02 generic text, type T, neo UTF8
HOMER LANE LAUNDROMAT page 1
FINANCIAL STATEMENT
FEBRUARY 1, 1973
***PAY THE AMOUNT
INCOME ***IN THE LAST
------ ***COLUMN ↓↓↓↓
DUE IN PAID IN BALANCE DUE IN PAID IN PAYBACK BALANCE
WHO 1972 1972 1/1/73 JAN 73 JANUARY TODAY
(A) (B) (C=A-B) (D) (E) (F) (C+D-E+F)
---- ------ ------- ------- ------ ------- ------- -------
BOX $ .57 $ .57 $ .00 $ 1.91 $ 1.91 $ .00
MARK 10.20 10.20 .00 .00
SUSIE 6.00 6.00 .00 7.00 .00 7.00
ROSALIND 6.00 6.05 .05CR 7.00 2.00 4.95
PATTI -- PAYS INTO BOX -- 5.00 .00 5.00
KAREN 6.00 7.00 1.00CR 7.00 5.00 1.00
KATHY 6.00 12.00 6.00CR 7.00 .00 1.00
MARTINE 6.00 15.00 9.00CR 7.00 .00 2.00CR
LARRY 6.00 47.03 41.03CR 4.50 .00 $ 36.53 .00
BARBARA 2.50 .00 2.50
------- ----- ----- ------ ----- ----- ------ -----
TOTAL 46.77 103.85 $57.08CR 48.91 8.91 36.53 $19.45
↓↓↓ ↓↓↓
↓↓↓ ↓↓↓
(D) Includes a special $5 assessment $ 2.00 asset
(see page 3) 21.45 liability
CR means CREDIT for overpayment.
Some people prepaid to help us buy equipment.
HOMER LANE LAUNDROMAT page 2
FINANCIAL STATEMENT
FEBRUARY 1, 1973
EXPENSES
--------
FOR 1972 JAN 73
--------------- ------ -------
ELECTRICITY $ 20.18 $ 4.76
PLUMBING 8.73
WIRING 2.00
DRYER PARTS 6.00
DRYERS 25.45
WASHER BELT 4.15
WASHER 15.70
LEDGER .51
PAY BACK LARRY 36.53
--------------- ------- -------
TOTAL $ 82.21 $ 41.80
Our usual monthly expenses are only $5 or so. We charge more than
that because we have been paying off equipment costs and want to
accumulate a kitty for future maintenance and equipment expenses.
There are two payment plans: per wash or per month. If you launder
twice a week, the per month plan is cheaper. I assume everyone is
on the per month plan except Patti. Both plans are half the price
of a commercial laundromat.
Barbara Barnett will be taking over the accounting in February.
Please pay her or me your February 1 balance promptly, and pay her
$2 more for the month of February soon. If you want to switch payment
plans, tell Barbara.
HOMER LANE LAUNDROMAT page 3
FINANCIAL STATEMENT
FEBRUARY 1, 1973
BALANCE SHEET
------- -----
THROUGH 1972 JANUARY 1973
$ 103.85 TOTAL INCOME $ 8.91
82.21 TOTAL EXPENSES 41.80
-------- ---------------- --------
$ 21.64(+) CASH SURPLUS/DEFICIT $ 32.89(-)
.00 CARRY OVER 21.64(+)
-------- ---------------- --------
$ 21.64(+) CUMULATIVE SURPLUS $ 11.25(-)
.00 BALANCES DUE (ASSET) 21.45
-------- ---------------- --------
$ 21.64(+) TOTAL ASSETS $ 10.20(+)
57.08 OVERPAYMENTS (LIABILITY) 2.00
-------- ---------------- --------
$ 35.44(-) NET WORTH $ 8.20
To get us from $35 behind January 1 to $8 ahead today
required a special assessment of $5 per household which is
reflected in your "amount due in January" on the preceding page.
We were so far behind because of the initial equipment expense.