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Plans and Strategies for Club Treasurers

Learn about club treasurer responsibilities, financial policies, external duties, and efficient financial strategies for effective management of club funds and accounts.

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Plans and Strategies for Club Treasurers

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  1. Plans and Strategies for Club Treasurers

  2. Club Treasurer Responsibilities • Develop and present budget for Board approval • Create & distribute Member Invoices • Dues, meals, contributions, etc. • Manage Collections & Receivables • Manage & Track Club Income • Make bank deposits • Manage & Track Club Expense • Write Checks & Pay bills

  3. Club Treasurer Responsibilities • Track Fundraising Income • Track Project Expenditures • Financial Report to Board (monthly)**Treasurer is on BOD per 2016 COL** • Income Statement • Balance Sheet • Maintain separate accounting for other entities • Local Foundation – a 501(c)3 Corporation

  4. Managing Funds Collectedfor Others • Track and remit funds to The Rotary Foundation • Track and remit funds to CART • Track and remit funds to the club’s local foundation (501(c)3) NOTE that all the above are Liabilities of the Club – not Income or Expenses(It was never your money – you collected it for someone else)

  5. External Responsibilities • Pay RI Dues (Note 2016 COL Changes, pp. 1 & 2) • July (based on 7/1 membership) • January (based on 1/1 membership) • Pay District Dues • July (based on 7/1 membership) • File Form(s) 990 with IRS – Nov. 15 • Club • 501(c)3 Club Foundation, if applicable

  6. Policies to Consider • A 3rd-Party Audit or a Review, if one hasn’t been done recently • Bonding for Treasurer (Only practical if you carry insurance) • Organizing a Finance Committee, of which Treasurer is Chair • Accepting Credit Cards – Requires a Credit Card merchant account or a Pay Pal account

  7. Policies to Consider • Financial Control – internal controls and processes • Budget Requests – formalized submission of Club budget priorities • Check Signing • Document Retention • Investment Directive • Conflict of Interest

  8. Reporting Club Finances • Income Statement • Income (what we took in & from where) • Expenses (what we spent & where) • Net Income over Expenses (what’s left over – this period (month, year) Typical Accounts? • Balance Sheet • Assets (what we own) • Liabilities (what we owe) • Net Assets (what’s left over – for all time) • What about funds we collected for others?

  9. What we took in & from where For the Six Months Ended December 31, 2015

  10. What we spent (and where) 2015 2015

  11. What we spent (and where) For the Six Months Ended December 31, 2015 What’s left over

  12. Things (and funds) we own Money we collected for others (and owe them) What’s left over Money we owe others December 31, 2015

  13. Remittances to Pass-Through Entities • Book donations as a Liability (it’s not your money) • The Rotary Foundation (TRF) Payable • CART Payable • Club Foundation Payable • Write remittance check against that account (clears Liability) each month • Use DACdb Club Report 2.1 The Rotary FOUNDATION Transmittal (TRF) – Ready-made transmittal in Excel • CART – Steve Black

  14. Imagine Yourself…. • You’re the incoming Club Treasurer • All invoices sent (by prior treasurer) • All bills booked and/or paid (by prior treasurer) • All income booked (by prior treasurer) • Dues • Meals • Fundraisers • A clean set of year-end Financials • Income Statement • Balance Sheet • Cash Balances (checking account, etc.) • A set of books and a checkbook that all balance for a clean start to the year

  15. How?? • System of your own invention - Not recommended • Quicken - Not recommended • QuickBooks – Requires double-entry of members and member addresses • DACdb (District Database) – Dues Module available for monthly fee – Excellent for a club with no 501(c)3 • Sage 50 (a.k.a. Peachtree) – Download and import/refresh members and member addresses from DACdb

  16. Why?? • System of your own invention - Not recommended • Not easily transferable to future Treasurers • Hard to Audit – anything can be changed by anyone, any time • Easy for mistakes to creep in • Formula Errors • Double-entry errors • May or may not provide automatically-generated invoices and member statements • May or may not provide a “standard” income statement and balance sheet for Board • May or may not provide Budget vs. Actual for both Month and Year to date

  17. Why?? • System of your own invention - Not recommended • Quicken - Not recommended • A check register – not a bookkeeping system • Balance Sheet requires construction of pseudo “Asset” and “Liability” accounts • Doesn’t handle Billing very well (if at all) • Doesn’t handle Receivables very well (if at all) • Limited Reporting capabilities • Hard to Audit

  18. Why?? • System of your own invention - Not recommended • Quicken - Not recommended • QuickBooks – Requires double-entry of members and member addresses (no DACdb download) • You’ll need to go to DACdb each billing cycle, find new members and update addresses for current members • Does a good job of invoicing (including emailing invoices) • Does a good job of managing A/R and G/L • Standard P&L and Balance sheet – other reports require some massaging (Budget, Month/YTD) • Hard to Audit – allows entries in prior periods w/o an Audit Trail

  19. Recommended Platforms • DACdb (District Database) – Dues Module available for monthly fee – Excellent for a club with no 501(c)3 (or separate accounting need) • Fully Integrated with Member Addresses • Batch Invoice Capability • Accounts Receivable Tracking • Balance Sheet & Income Statement • No provision for a second entity – 501(c)3 • 100% Backed up – every night

  20. DACdb Dues Module • Invoice Templates • Dues • Meals • Contributions • Multiple Invoice Outputs • Print to MS Word & mail • Email PDFs

  21. DACdb Dues Module Charge Types/Prices Dues Meals Contributions Board Meals Initiation Fees

  22. DACdb Dues Module Select Members to invoice All member data integrated with DACdb Member Database

  23. DACdb Dues Module • Print/Mail or Email Invoices • Payment Tracking • Pay online by credit card • Reports • Chart of Accounts • Income Statement • Balance Sheet • A/R Aging (member accounts receivable) • P&L to Budget – Both Month & YTD • Price: $3/wk = $156/year

  24. Recommended Platforms • Sage 50 (Peachtree) – Download and import/refresh members and member addresses from DACdb • Download/import integration with DACdb • Supports template invoicing in lower-cost versions • Supports batch invoicing in Premium Edition • Complete Reporting – A/R, Income Statement, Balance Sheet, Budget/Actual etc.

  25. Recommended Platforms • DACdb (District Database) – Dues Module available for annual fee • Price: $3/wk = $156/year • Sage 50 (Peachtree) – Download and import/refresh members and member addresses from DACdb • Sage 50 Pro $269.00 - Amazon • Sage 50 Premium (single user) $353.00 - Amazon Downloadable Free Trial available (includes all versions)

  26. Recommended Platforms • QuickBooks – Manually enter members and update member addresses from DACdb • QuickBooks Pro (single user) $199.00 - Amazon Downloadable Free Trial available Online (cloud) version available Note: 501(c)3 Foundations can purchase Quickbooks Premier Non-Profit for $45.00 from www.techsoup.org(501(c)3 documentation required)

  27. What if I Have a Problem? • Requests by email – replies by email or phone • ITSupport@rotary7750.org  (district)

  28. Plans and Strategies for Club Treasurers

  29. DACdb Dues Module

  30. CHART OF ACCOUNTS

  31. INVOICE LISTING

  32. ACCOUNT BALANCE FROM ACCOUNTING SECTION ON LEFT SIDE

  33. CHECKING ACCOUNT ACTIVITY WITH CURRENT CHECKBOOK BALANCE

  34. TYPICAL EXPENSE ACCOUNT REPORT

  35. Downloading Member Names and Addresses from DACdb and Importing to Sage 50

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