TRC Accounting Rules
TRC Accounting Rules
This is a draft statement of the rules and requirements for the TRC Treasurer budgeting process and monthly accounting.
Budgeting
With the Bylaws amendment from 2006, the requirement was added that TRC go through an annual budgeting procedure. The most effective way to implement this is to subdivide revenues and expenditures into various categories, figure out what the revenues and expenditures will look like month-to-month based on reasonable assumptions, and then keep track of actual revenues and expenditures and report them to the Board on a monthly basis. Note that it is important to keep track of whether revenues come from members or non-members to comply with the 501(c)(7) requirements on how much revenue may come from non-members.
Revenue Streams
The basic revenue streams are:
- Memberships
- The membership fee charged to each member
- Member entries
- Members who run a rallye
- Non-member Entries
- Non-members running a rallye
Expense Streams
As always, there are many more expense streams than revenue streams. It feels like that at home, too, doesn't it?
- Awards
- TRC gives out awards at each rallye, this is where they're accounted.
- Donation
- TRC will, from time to time, make donations to various charities. Examples include the Toy Rallye if someone gives us a cash entry instead of a toy or makes an additional donation, or (new this year), the Board decided to donate the proceeds from Monster Mash 2007 to the Breast Cancer 3-Day.
- Equipment
- Upkeep of the marker tools, timed checkpoint kits, and other such equipment.
- Fees
- PayPal charges a fee for accepting payments over their service. Any other fees relating to revenue should go here as well.
- Gasoline
- This may become "Vehicle Expenses" for the 2008 budget. TRC will reimburse (FOB Larry's Auto Works?) for expenses incurred while creating a rallye.
- Insurance
- Our single-largest expense item. Each event must have at some amount of general liability, determined by the board.
- Legal
- Legal filing fees, almost always paid to the CA Secretary of State for the various biennial statements. Should the need arise for TRC to retain counsel, this would be the place to expense it.
- Misc
- Everyone's got a misc budget line. This is $20 per rallye that can chalk up strange expenses (for example replacing a worker's clothing that was damaged at a CP by a required item).
- Office
- Mailing labels, card stock for CMs, pens, staples, duct tape, etc.
- Par Plaques
- Expenses related to the creation of the participation plaques. Usually the magnets and other special supplies. Printing for the par plaques should probably go here, rather than "printing".
- Postage
- Self-explanatory.
- Printing
- Because a large chunk of TRC expenditures are on printing, this is a separate item from office. The printing reimbursement rate covers paper and toner for a high-end desktop printer. Higher-volume devices will be less per page, lower-end more.
- Promotional
- TRC does various giveaways throughout the year, including the membership rallye items, TRC 25th Anniversary jackets, and the like.
- Refund
- $2 per rallye to potentially refund to an entrant that wants their money back for whatever reason.
- Revenue Sharing
- The TRC Board may agree to share revenues with rallyemasters for their events. This needs to be arranged well in advance.
Monthly Reporting
In addition to an update on the budget and how the club is tracking to the forecast, the monthly report includes:
- A summary of cash on hand, including the checking account, PayPal account, and cash in the start box, at both the start and end of the reporting period.
- A summary of revenues during the reporting period, broken down by source
- A summary of expenses during the reporting period, broken down by payee
- A listing of expected or outstanding upcoming expenses (for example, a rallyemaster who's not claimed expenses yet, or that the annual insurance renewal is coming next month)