| $ | |
| Balance as at 31 December 1994 | 6,699 |
| Deficit - General Account | (126) |
| Surplus - Grant Account | 31 |
| 6,604 | |
| This is represented by: | |
| Current Assets | |
| Commonwealth Bank Society Cheque Account | 6,580 |
| Commonwealth Bank Cheque Account - Grant | 24 |
| 6,604 | |
| Income | ||
| $ | ||
| Subscriptions | 6,429 | |
| Interest | 165 | |
| Grant | 300 | |
| 6,894 | ||
| Expenses | ||
| Exhibition expenses | 360 | |
| Audit | 145 | |
| Post box | 40 | |
| Printing | 3,625 | |
| Postage | 1,141 | |
| Bank charges | 23 | |
| A.G.M. | 416 | |
| Co-ordination expenses | 312 | |
| Sundry expenses | 358 | |
| Design costs | 600 | 7,020 |
| Surplus (Deficit) for Period | ($126) | |
| Income | ||
| $ | ||
| Grant Received | 11,853 | |
| Bank Interest | 45 | |
| 11,898 | ||
| Expenses | ||
| Salaries | 9,480 | |
| Insurance | 80 | |
| Publishing and Layout | 1,796 | |
| Journal - Postage | 293 | |
| Bank charges | 18 | |
| Subscription | 200 | 11,867 |
| Surplus for Period | $ 31 | |