Treasurer's Report - April 2021

With this being a very unusual year for SAC ASHRAE due to COVID restrictions, our finances have been varied and more estimating had to be done with the budget than in years past.

 We were expecting to operate at a deficit of roughly $3000. We currently have a surplus of roughly $2000 without only a few months left in the ASHRAE year. This is due to two factors. The first and primary factor was continued support from our membership even without events and networking activities. The second factor was lower than expected costs. We were hoping to be able to host some events in early 2021, but obviously that didn’t work out. Thank you for the support and we look forward to industry events in the future. As with previous years, a full summary of the 2020/2021 year and budget will be released with next ASHRAE year.  

Hope to see you all soon.

Mike Cottreau - Treasurer