Dec. 2008 Financial Report

 THE BOXER  CLUB  OF  CANADA  INC 
 TREASURER'S  REPORT  
  Change in Cash Position for the period ending  November 30, 2008
 Month        Year To-date 
 Opening  Bank Balance      2,652.03         4,768.32
 Receipts         
 Membership - CY                  -       1,000.00
 Membership - Prepaid         980.00     1,370.00
 Trophy Donations - Prepaid         435.00     491.60
 Member Charitable Donations                  -              272.00
 Fundraiser - Calendars        280.00            280.00
 Sponsor Support                  -                       -  
 Booster Rebate         180.00            180.00
 Interest             0.31            205.48
 Drawdown of Investments                   -           1,028.35
 Prepaid Exp                  -              100.70
     1,875.31           4,928.13
 Disbursements         
 Booster Show       (230.00)          (230.00)
 CKC Annual Fees          (44.05)          (248.70)
 Insurance                  -            (480.60)
 Plaques & Awards                  -            (569.60)
 Postage & Supplies                  -            (435.29)
 Sponsored Event                  -                       -  
 Website                  -            (120.00)
 Good & Welfare                  -            (372.29)
 Bank Fees             1.74          (106.47)
 Charitable Donations          (50.00)       (1,050.00)
       (322.31)         (3,612.95)
 Net Change Before Special Activities     1,553.00         1,315.18
   
 Special Activities     
 Awards Dinner   - Receipts                  -           1,790.00
 - Disb                  -                   -         (2,739.38)      (949.38)
 Regional Specialty    - Receipts                  -           3,982.80
 - Disb                  -                   -         (4,707.14)      (724.34)
 Annual General Meeting                  -                   -            (204.75)      (204.75)
   
 Total Special Activities                    -           (1,878.47)
   
 Total Net Change     1,553.00          (563.29)
   
 Closing Bank  Balance    - US $  Account     1,034.98            974.98
  - Cdn $ Account     3,101.71         3,193.45
 PayPal Account    - Cdn $ Account           68.34              36.60
   4,205.03         4,205.03
   
   
 These numbers represent the change in cash position (bank balance)     
   since last reporting period plus the total change for the year.     
                        December 1, 2008