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AFTERBURN REPORT 2010

FINANCIAL CHART

2010 Cash Expenditures

Amount

Event-related expenditures:

 

BLM and other usage fees

1,235,000

Rental Equipment (heavy machinery, portable buildings, staff radio gear, cars and trucks)

663,000

Toilets (and related costs)

674,000

Honoraria provided to artists

453,000

Local Agencies (County law enforcement, Paiute Nation, Nevada Highway Patrol)

334,000

Materials and Supplies (shade structures, signage, lighting, décor, cleaning supplies, photography, archiving)

103,000

Cost of Goods for Ice, Café and Merch sales

298,000

Watering for dust abatement (equipment rental, contractor services)

192,000

Ticket sales/processing/printing fees paid to outside ticketing firm

319,011

The Man and Platform (materials, pyrotechnics, technicians, labor)

156,000

Medical Services and Supplies

328,000

Fire Safety

156,000

Fuel

206,000

Small Equipment and Tools (including radio comm equip, safety & signage)

51,000

Printing (newsletter, survival guide, gate materials, postcards, stickers)

96,000

Vehicles (registration, repair, and maintenance)

115,000

Equipment Repairs, Maintenance, Cleaning

13,000

Costumes / Uniforms

33,000

Fees, Agency permits, royalties, Damages & Losses

59,000

Total event-related expenditures

5,484,011

 

 

Expense Categories that include both Event-related and Organizational:

 

Payroll

7,283,000

Outside Services: Independent contractors

231,783

Insurance (property, liability, workers comp, vehicle)

548,000

Tax and Licenses (state and federal, payroll, misc)

422,289

Meals and Food (meetings, playa commissary, non travel)

877,000

Total Expense Categories that include both Event-related and Organizational

9,362,072

 

 

Total Outreach Expenses - Off-Playa Events, Regionals, Other

87,000

 

 

Year-round Expenditures of the Managing Corporation:

 

Outside Services (legal, consultants, accounting)

1,468,000

Facilities Rent

274,000

Travel (airfare, mileage reimbursements, food while traveling, accommodations for meetings, agency relations, public relations, training, etc)

212,000

Office and Computer Supplies

120,000

Utilities (San Francisco and Nevada)

99,000

Donations to local Nevada schools and organizations

168,000

Postage

46,000

Internet (hosting fees, POP accounts, high speed line)

67,000

Telephone (San Francisco and Nevada Offices, reimbursements, conference calls)

61,000

Shipping / Freight

9,000

Gifts, Promotions

20,000

Education and Training

20,000

Interest

18,000

Total year-round Expenditures of the Managing Corporation

2,582,000

 

 

Expenditures for Fixed Assets:

 

Vehicles

4,000

Computers and Electronics (including radio equipment)

86,000

Machinery and Equipment

18,000

Trailers and Portable Buildings

109,000

Land and Building Improvements

189,000

Furniture and Fixtures

49,000

Total Expenditures for Fixed Assets

455,000

 

 

Total Expenditures - 2010

17,515,083

 

Click here to read the 2009 financial chart.End of page