Lake Wilderness Arboretum
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Financial Management

Policy People Process Budget Forms Misc. Finance Docs Other Docs

This web page serves as the focal point for information about financial management for the Lake Wilderness Arboretum Foundation (LWAF). This includes information about:

Policy

Our financial policy provides an overall set of guidelines that drive how we manage the finances of the Lake Wilderness Arboretum Foundation (LWAF).

People

In terms of financial management, their are three key players:


  • The LWAF President
    The president appoints the Budget and Finance Committee chairperson and also plays an important part in the authorization of expenditures.

  • The Budget and Finance Committee
    This committee serves as the focal point for the management and administration of LWAF finances. This includes oversight of LWAF financial records and transactions as well as the development and maintenance of LWAF financial procedures.

  • The LWAF Treasurer
    This individual is a key member of the Budget and Finance Committee, pays the Arboretum's bills, and is the focal point for financial management data provided to the Board.

Process

Our financial management process describes the people and procedures they must follow in order to effectively manage the financial business of the Arboretum Foundation. Procedures include the approval of budget, authorization of expenses, payment of bills, and the monthly reporting of actual versus budgeted income and expenses. People performing these procedures include the Board, account managers, the treasurer, the Budget and Finance Committee, and the Foundation's bookkeeper.

Budget

Each year an annual budget is developed and approved. The budget is apportioned among account managers, each of whom are responsible for first forecasting their needs and then managing their expenses within their approved budget. Our budget is documented in:

  • Budget & Financial Mgt Summary
    This PowerPoint presentation, provides an overview of our 2007 budget that was approved by the board on November 14, 2006. It also discusses financial management concepts, centered around expense account and expense account managers. Financial forms (since updated) are also shown. Lastly, this presentation shows the grant request (since approved) that we made to the City of Maple Valley in August of 2006.

  • 2007 Chart of Accounts
    This chart lists the acccounts to which charges may be allocated.

  • 2007 Budget
    This is our budget for 2007. It contains multiple sheets. The first sheet is the budget itself - showing all income and expense accounts. The second sheet shows the Maple Valley Grant and the third sheet is a chart of accounts. Note that sheet 1 contains a revision log showing the latest approved changes.

Forms

Shown below are forms used to manage the budget and authorized expenses against it.

  • Expense Voucher
    This voucher is used to obtain pre-authorization to procure one or more items or it is used to obtain subsequent reimbursement for expenditures already made. The account manager must sign this form for either pre-approval or for subsequent reimbursement to the indivdidual or entity that will be expending or has expended funds. To obtain reimbursement for expenditures, this form, signed by the account manager, should be turned in to the LWAF treasurer. See our Financial Management Process document for more information.

  • Commitment Charge
    This form enables an account manager to record expenses that have been incurred but not yet paid. Thus reports showing actual expense versus budgeted expenses are more accurate. Once a commitment has been paid, this form must be used to delete the committed charges (because actual charges have been entered into the account).

  • Account Adjustment Request
    This form allows an account manager to request a transfer of charges from one account to another. This form must be approved by the treasurer and the other account manager if a second account manager is impacted.

  • Budget Approval Form
    This form is used to provide initial budget authorization to Account Managers. It must also be used when there is a budget change. A copy go to the Account Manager and to the Budget and Finance Chairperson. A copy is also posted on the web.

Other Financial Documents

In addition to the above documentation. Other documents and memos are periodically created that provide finance-related information. This information is currently available via a directory on our web site. File names in this directory are designed to identify document content.

In the case of monthly finance reports, file names have a prefix to identify the month and year of the report. Each month, four key reports are presented to the Board for review. They are:

  • yyyy_mm_transactions_by_account
    This report is the one that shows the data that drives all other reports. It shows income and expense transactions by account. Account managers are asked to review this report and submit changes to the B&F committee chairman if there any anomolies. Once the anomolies are resolved, the other monthly reports are generated.

  • yyyy_mm_month_end_balance
    This report shows the month_ending balances in our checking, savings, and CD accounts. Data is shown for the current month and all prior months of the year.

  • yyyy_mm_MV_grant_accounting
    The City annually grants us money for both general and specific expenses. We first pay grant-allowable expenses, from our Arboretum bank account and then submit a bill to the City and they reimburse us. Because we get such a large portion of our income from the City of Maple Valley, we have a separate report that shows the status of City of Maple Valley grant money. It shows how much was granted, how much has been spent, how much has been billed back to the City, and how much has been reimbursed to us.

  • yyyy_mm_budget_performance
    For each account, this report shows current month actuals, year_to_date actuals and annual budget. It is the report that the B&F committee uses to analyze our income and expense plan versus actual and report potential problems to the Board.


Other Administrative Documents

The LWAF bylaws provide overall guidance to the board, define standing committees, and define the responsibilities of board officers. In addition to a web-based view of the bylaws, you can get a copy of our bylaws in Word or in PDF format. A list other LWAF administrative documents is also available.



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Email: Info@LakeWildernessArboretum.org

Mailing Address: LWAF, Box 72, Maple Valley,WA 98038
Street Location: 22520 SE 248th Maple Valley,WA
Phones: 425-413-2572 or 206-366-2125
Permission to copy granted: Webmaster@LakeWildernessArboretum.org