Due October 1
PO Box 37005 • Regina, SK S4S 7K3 • Phone: 757-1722 • Fax: 347-7789
REVENUE & EXPENSE FORM
Note: This form is not required if you are submitting a detailed Financial Statement.
District Festival _____________________________________________
Year End Date: ____________________________
Revenue
Entry fees ............................................................................................................................................... ____________________
Door admissions & Program Sales ......................................................................................................... ____________________
Coffee, Food sales and collections ......................................................................................................... ____________________
Program advertising ............................................................................................................................... ____________________
Grants & Sponsorships
_________________________________________________ ...................................................... ____________________
_________________________________________________ ...................................................... ____________________
_________________________________________________ ...................................................... ____________________
Revenue from workshops, concerts, carol festivals, other .................................................................... ____________________
Promotional items re-sale ...................................................................................................................... ____________________
Scholarship donations ............................................................................................................................ ____________________
Fund raising projects .............................................................................................................................. ____________________
Interest ................................................................................................................................................... ____________________
Other revenue:
_________________________________________________ ...................................................... ____________________
_________________________________________________ ...................................................... ____________________
Accounts receivable (if not included in above) ...................................................................................... ____________________
_________________________________________________ ...................................................... ____________________
_________________________________________________ ...................................................... ____________________
$ 0.00
TOTAL REVENUE (do not include previous year’s bank balance) ...................................................... ____________________
02/11/16