DANIEL BOONE YOUTH SPORTS
DBYS General Meeting Minutes
June 14, 2015
7:00pm at the Hill Road Complex Pavilion
- Meeting called to order: 7:01
- Agenda: approved by DW,JH
- Attendance: Brian Miller, Rick Schellinger, Jay Hall, Haley Briggs, Bill Duffy, Dan Welker
- Officers’ Reports:
· President’s Report (Randy Yenser)–
· Vice President’s Report (Dan Brown) –
· Treasurer’s Report (Nan Tindall) -
§ Checking account: $61,099
§ Cash Outflow: $36,304
§ Cash Inflow: $20,983
§ Total Funds Held: $62,639
§ Financials are attached
§ Comments: Budgetapproved (DW, JH)
· Secretary’s Minutes – reading waived (DW, JH)
· Softball Director’s Report (Greg Whelan) –
· Baseball Director’s Report (Tom Curley) – Season complete Championship weekend a success
· Logistics Coordinator’s Report (Lori Pence) –
· Buddy Ball Report (Traci Huddleson) -
· League Representative’s Report (Eric Detwiler) –
· Commissioners reports
- Old Business:
· Updates on Capital Improvements
§ DBMS field dugouts – moving forward July-August
· Nominations
· Secretary – Closed – Brett Scarbinsky nominated and accepted in May
· Logistics – Closed – Lori Pence nominated accepted in May
· Baseball Directory – Closed – nominated accepted in May
- New Business
· Nomination for President
§ President – nomated Eric Detwiler (BS, LP)
§ Travel Team update
· Teams are in middle of travel season looking forward to districts and states
Meeting adjourned 7:24 (JH,DW)
DBYS Financial Summaryas of 5/31/15
Description / Beg Balance / Change / Ending Balance
Cash Balances
Sovereign Bank - Checking / 76,421.06$ / (15,321.28)$ / 61,099.78$
Petty Cash - Treasurer / 1,040.00$ / -$ / 1,040.00$
Snack Stand Cash Boxes / 500.00$ / -$ / 500.00$
Total Cash Held / 77,961.06$ / (15,321.28)$ / 62,639.78$
Restricted Cash
TT Softball Funds Held / ------> / ------> / 2,472.23$
InfernoTravel Funds Held / ------> / ------> / (98.79)$
Buddy Ball Funds Held / ------> / ------> / 1,464.48$
TT Baseball Funds Held / ------> / ------> / 1,820.00$
DBCA Registration Fees / ------> / ------> / 1,640.00$
Unrestricted Cash / ------> / ------> / 55,341.86$
Cash Inflows
Spring Registration Fees / 97.00$
Spiritwear Sales / 396.00$
TT Uniform Reimb. / 3,704.50$
Fundraiser / 243.00$ / Reading Phillies ($27/family)
Sponsorship Income / 675.00$
Promotions / 405.60$ / Kona & Pictures
Snack Stand Proceeds / 14,212.00$
Tournament Host Income / Baseball & Softball / 1,250.00$
Total Cash Collected / 20,983.10$
Cash Outflows
Snack Stand Supplies / 5,555.75$
Fields & Fencing / 1,766.41$ / Mowing, 3 Wheel Liner
Equipment / 932.85$ / Press Box Equipment
Spiritwear Expense / 152.00$
Baseball Equipment / 2,387.77$ / Baseballs, Tees, Safety Bases
Baseball Uniforms / 13,629.15$ / Spring Rec. Ball Uniforms
Baseball Tournament Umpire Fees / 2,515.00$
Softball Umpire Fees / 966.00$
Softball Licensing Fees / 67.00$
Softball TT Uniforms / 506.00$
Softball TT Reg. Fees / 995.00$
Baseball TT Reg. Fees / 3,740.00$
Inferno Tournament Reg. Fee / 550.00$
Inferno Uniforms / 1,215.00$
Buddy Ball / 770.44$ / Equipment, Medals, Port-a-potty
Office Supplies / 151.85$ / Toner & Tournament Banners
Misc. Expenses / 145.17$ / Board Meeting
Other Expenses / 258.99$ / CC & Bank Fees
Total Cash Paid / 36,304.38$
Net Monthly Change in Cash / (15,321.28)$
Payables
Total Payables / -$
DBYS Equity at Month End / 62,639.78$