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Lincoln Elementary PTA
February 1, 2026 - January 31, 2027
Annual Financial Report
Reports gross receipts and disbursements for the fiscal year, with separate sections for amounts belonging to the unit and amounts collected and remitted on behalf of council, district, state, and national PTA. Follows the PTA Annual Financial Report format for distribution to the board, membership, and agencies.
Fiscal Year: 2026Reset

AccountAmount
Balance on Hand (from previous year)$0.00
Receipts
Donations$10,238.64
Fundraising Revenue$23,950.00
Membership Dues$4,375.00
Sponsorships$6,000.00
Book Fair
Book Fair Revenue$3,100.00
Total Book Fair$3,100.00
Spirit Wear
Spirit Wear Sales$1,925.00
Total Spirit Wear$1,925.00
Total$49,588.64
Total Receipts$49,588.64
Disbursements
Classroom Supplies$1,491.00
Event Expenses$4,314.83
Student Programs$1,980.00
Teacher Grants$1,000.00
Administration
Office Supplies$1,467.56
Printing & Copying$600.00
Total Administration$2,067.56
Total$10,853.39
Total Disbursements$10,853.39
Balance on Hand$38,735.25
Confirmation

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