chiropractic board statement of financial performance for the year ended 31 march 2005 2005 2004 $ $ $ REVENUE Registration Fees 3,795 6,844 <strong>Annual</strong> Practising Certificates 298,314 278,009 Examination Fees 2,489 3,556 Interest Income 35,406 24,207 Other Income 130 162 Total Revenue 340,134 312,778 LESS EXPENDITURE Advertising 116 – Audit Fees 1,200 1,125 Bank Charges 2,756 2,693 Board Member Fees 42,581 29,222 Committee Fees – 9,118 Conferences/Seminars 21 6,414 Catering 1,198 2,066 Depreciation 608 – Examiners Fees – 3,599 General Expenses 3,756 273 Grants Paid 8,889 – Hire of Plant & Equipment 467 413 Legal Fees 20,865 15,183 HPDT-Establishment Costs 265 – Postage 3,681 1,876 Printing & Stationery 8,460 6,783 Professional Fees – 8,835 Publications 146 277 Service Charges 97,496 97,496 Telephone 2,227 3,661 Travelling Expenses 36,607 29,125 Total Expenditure 231,339 218,159 NET SURPLUS/(DEFICIT) 108,795 94,619 The attached Notes form part of these Financial Statements ANNUAL REPORT 2004/05 9
chiropractic board statement of movements in equity for the year ended 31 march 2005 2005 2004 $ $ Equity at Beginning of Year 389,901 295,282 Net Surplus/(Deficit) for the Year 108,795 94,619 Equity at End of Year 498,696 389,901 The attached Notes form part of these Financial Statements 10 CHIROPRACTIC BOARD