Finances

Statement of Operations & Changes in Members' Equity


(In thousands of dollars)
Year ended December 31, 2020, with comparative information for 2019.


  2020 2019
 
Revenue:    
Annual membership fees $39,468 $35,265
Other fees 1,419 1,429
Advertising 636 787
Special projects --- 12
Interest and other 321 568
 

41,844 36,061
Expenditures:    
Employee salaries 19,397 18,041
Employee benefits (note 10) 4,651 4,698
Council and committees 633 705
Services to members and applicants 2,244 3,162
Professional practice 284 583
Investigations and hearings 5,740 6,066
Operating support 4,741 5,073
Mortgage interest 638 831
Amortization 2,097 2,186
Council elections 32  
 
  40,457 41,345
 
Excess (deficiency) of revenue over expenditures
1,387 (3,284)
Members’ equity, beginning of year
17,801 21,085
Members’ equity, end of year
$19,188 $17,801
 
Members' equity, comprised of:    
Unrestricted $14,366 $13,791
Internally restricted (note 9) 4,822 4,010
 

See accompanying notes to financial statements.