AS Boards and Committees – 2020-2021

BCCSs

Internal Vice President
#402
2020-2021
Published Budget$10,500.00
TOTAL$10,500.00
Expenses
Operating
Honoraria$5,703.80
Special Projects$500.00
Unspent$4,296.20
TOTAL$10,500.00
President
#404
2020-2021
Published Budget$16,650.00
$0.00
TOTAL$16,650.00
Expenses
Operating$190.05
Honoraria$8,601.50
Travel$1,950.00
Special Projects$2,260.63
Rollover to 2021-2022$3,647.82
TOTAL$16,650.00
Covid19 Task Force
#405
2020-2021
Published Budget$19,800.00
Allocations$131,600.00
Rollover from 2019-2020$168,921.20
TOTAL$320,321.20
Expenses
Grants$164,137.30
Rollover to 2021-2022$156,183.90
TOTAL$320,321.20
Attorney General
#406
2020-2021
Published Budget$1,300.00
Overspent$6,990.00
TOTAL$8,290.00
Expenses
Operating
Honoraria$8,290.00
Unspent
TOTAL$8,290.00
Bus Svcs/Controller
#408
2020-2021
Published Budget$12,725.00
Rollover from 2019-2020$9,710.00
TOTAL$22,435.00
Expenses
Operating
Honoraria$8,150.00
Special Projects$4,371.57
Unspent
Rollover to 2021-2022$9,913.43
TOTAL$22,435.00
Book Bank
#410
2020-2021
Published Budget$95,300.00
Rollover from 2019-2020$24,028.99
TOTAL$119,328.99
Expenses
Student staff$22,060.47
Operating$30,300.00
Honoraria$4,875.00
Rollover to 2021-2022$62,093.52
TOTAL$119,328.99
CODE
#418
2020-2021
Published Budget$5,650.00
Rollover from 2019-2020$0.00
TOTAL$5,650.00
Expenses
Operating
Honoraria$2,970.00
Travel
Special Projects
Rollover to 2021-2022$2,680.00
TOTAL$5,650.00
Comm on Comm
#420
2020-2021
Published Budget$17,950.00
TOTAL$17,950.00
Expenses
Operating
Honoraria$6,000.00
Special Projects
Unspent$11,950.00
TOTAL$17,950.00
CFF Committee
#423
2020-2021
Published Budget$6,900.00
TOTAL$6,900.00
Expenses
Honoraria$6,900.00
Unspent
TOTAL$6,900.00
Public Safety Commission
#425
2020-2021
Published Budget$6,825.00
Rollover from 2019-2020$6,400.63
TOTAL$13,225.63
Expenses
Operating
Staff Salaries
Honoraria$1,500.00
Special Projects
Rollover to 2021-2022$11,725.63
TOTAL$13,225.63
UCIV
#426
2020-2021
Published Budget$17,000.00
Rollover from 2019-2020$20,971.38
TOTAL$37,971.38
Expenses
Student staff$0.00
Special Projects$0.00
Rollover to 2021-2022$37,971.38
TOTAL$37,971.38
Elections
#440
2020-2021
Published Budget$14,200.00
$0.00
TOTAL$14,200.00
Expenses
Operating$2,843.88
Honoraria$8,670.00
Contract
Special Projects$155.00
Rollover to 2021-2022$2,531.12
TOTAL$14,200.00
Environmental Justice Alliance
#445
2020-2021
Published Budget$32,600.00
Rollover from 2019-2020$6,755.71
TOTAL$39,355.71
Expenses
Operating$3,072.29
Honoraria$6,800.00
Special Projects$30.00
Rollover to 2021-2022$29,453.42
TOTAL$39,355.71
Food Bank Committee
#450
2020-2021
Published Budget$15,700.00
Allocation
Rollover from 2019-2020$31,814.32
TOTAL$47,514.32
Expenses
Operating
Honoraria$2,000.00
Special Projects$281.61
Rollover to 2021-2022$45,232.71
TOTAL$47,514.32
Global Gaucho Commission
#451
2020-2021
Published Budget$49,600.00
Rollover from 2019-2020$0.00
TOTAL$49,600.00
Expenses
Operating$100.00
Honoraria$4,490.00
Special Projects$2,372.22
Unspent$42,637.78
TOTAL$49,600.00
Finance & Business Committee
#452
2020-2021
Published Budget$6,450.00
TOTAL$6,450.00
Expenses
Operating
Honoraria$5,590.00
Special Projects
Unspent$860.00
TOTAL$6,450.00
Human Rights Board
#453
2020-2021
Published Budget$68,250.00
Allocations
TOTAL$68,250.00
Expenses
Operating$8,243.18
Honoraria$9,590.00
Travel$12,000.00
Special Projects$22,246.60
Rollover to 2021-2022$16,170.22
TOTAL$68,250.00
Investments
#458
2020-2021
Published Budget$5,800.00
TOTAL$5,800.00
Expenses
Operating
Honoraria$5,750.00
Special Projects
Unspent$50.00
TOTAL$5,800.00
Judicial Council
#464
2020-2021
Published Budget$5,860.00
Expenses
Operating
Honoraria$1,450.00
Unspent$4,410.00
TOTAL$5,860.00
Public & Mental Health
#466
2020-2021
Published Budget$56,200.00
Rollover from 2019-2020$11,650.00
TOTAL$67,850.00
Expenses
Honoraria$7,450.00
Special Projects$23,237.17
Rollover to 2021-2022$37,162.83
TOTAL$67,850.00
SASA
#467
2020-2021
Published Budget$56,940.00
Allocations$31,559.97
Rollover from 2019-2020$14,100.00
TOTAL$102,599.97
Expenses
Honoraria$7,550.00
Special Projects$80,919.32
Unspent$14,130.65
TOTAL$102,599.97
Senate
#468
2020-2021
Published Budget$37,800.00
Allocations$7,174.90
Co-Sponsor
Rollover from 2019-2020$6,081.27
TOTAL$51,056.17
Expenses
Operating$79.62
Honoraria$24,945.00
Special Projects
Rollover to 2021-2022$26,031.55
TOTAL$51,056.17
Senate – External Affairs
#469
2020-2021
Published Budget$900.00
Allocations$2,800.00
TOTAL$3,700.00
Expenses
Honoraria$2,250.00
Rollover to 2021-2022$1,450.00
TOTAL$3,700.00
Senate – Internal Affairs
#470
2020-2021
Published Budget$450.00
Rollover from 2019-2020
TOTAL$450.00
Expenses
Operating
Honoraria$150.00
Unspent$300.00
TOTAL$450.00
Basic Needs-Food Security 
#471
2020-2021
Published Budget$4,000.00
TOTAL$4,000.00
Expemses
Operating
Honoraria$770.00
Special Projects
Rollover to 2021-2022$3,230.00
TOTAL$4,000.00
Zero Waste Committee
#481
2020-2021
Published Budget$27,200.00
Sales of compostable products$0.00
$0.00
TOTAL$27,200.00
Expenses
Operating$1,274.07
Honoraria$8,950.00
Travel$1,632.56
Special Projects$4,840.00
Rollover to 2021-2022$10,503.37
TOTAL$27,200.00
SIRRC
#483
2020-2021
Published Budget$82,777.28
Allocation$3,200.00
Rollover from 2019-2020$0.00
TOTAL$85,977.28
Expenses
Operating$2,975.50
Honoraria$10,305.00
Travel
Special Projects$7,314.85
Retention
Outreach
Rollover to 2021-2022$65,381.93
TOTAL$85,977.28
Student Advocate
#484
2020-2021
Published Budget$16,500.00
Allocations$0.00
TOTAL$16,500.00
Expenses
Operating
Honoraria$14,300.00
Special Projects
Rollover to 2021-2022$2,200.00
TOTAL$16,500.00
Student Lobby
#485
2020-2021
Published Budget$39,950.00
TOTAL$39,950.00
Expenses
Operating$760.00
Honoraria$4,200.00
Travel
Special Projects$25,000.00
Unspent$9,990.00
TOTAL$39,950.00
Transfer Student Alliance
#486
2020-2021
Published Budget$46,800.00
TOTAL$46,800.00
Expenses
Operating$5,114.25
Honoraria$7,500.00
Special Projects$1,044.94
Rollover to 2021-2022$33,140.81
TOTAL$46,800.00
EVPLA
#488
2020-2021
Published Budget$16,000.00
Rollover from 2019-2020$20,107.00
TOTAL$36,107.00
Expenses
Operating$541.70
Honoraria$2,900.00
Special Projects$22,700.89
Rollover to 2021-2022$9,964.41
TOTAL$36,107.00
EVPSA 
#492
2020-2021
Published Budget$61,650.00
TOTAL$61,650.00
Expenses
Operating$10,100.00
Honoraria$14,300.00
Travel$19,200.00
Special Projects$13,720.46
Rollover to 2021-2022$4,329.54
TOTAL$61,650.00
Womans Journal
#496
2020-2021
Published Budget$2,300.00
TOTAL$2,300.00
Expenses
Operating
Unspent$2,300.00
TOTAL$2,300.00
Honoraria
#499
2020-2021
Published Budget$45,000.00
TOTAL$45,000.00
Expenses
Executice Officers Tuition$43,982.85
Unspent$1,017.15
TOTAL$45,000.00

Lockins

AS Program Board
#300/301
2020-2021
Published Budget$1,307,471.50
Income
Donation
Ticket Sales
Merchandise Sales
Labor Income
Capital Reserves
Co-sponsorships$11,320.00
Rollover from 2019-2020$1,493,741.00
TOTAL$2,812,532.50
Expenses
Programing$638,733.15
Work Study
Student Salaries$46,836.07
Staff Salaries$66,857.34
Operating$20,422.48
Honoraria/Stipends
Travel$898.77
Special Projects
Equipment Purchase
Recharge Fees$30,928.77
Unspent
Rollover to 2021-2022$2,007,855.92
TOTAL$2,812,532.50
BIKES
#305
2020-2021
Published Budget$231,288.76
GSA Fees$6,614.44
Rollover from 2019-2020$0.00
TOTAL$237,903.20
Expenses
Operating$8,500.00
Honoraria$2,750.00
Special Projects$208,657.67
Recharge Fees$4,535.65
Overspent 2019-2020$5,140.45
Rollover to 2021-2022$8,319.43
TOTAL$237,903.20
The Bottom Line
#307
2020-2021
Published Budget$108,867.05
Adv Sales
Rollover from 2019-2020$22,098.35
TOTAL$130,965.40
Expenses
Independent Contractors$34,575.97
Staff Salaries$40,159.58
Student Salaries$1,045.57
Operating$5,523.39
Honoraria
Travel
Special Projects$1,383.83
Recharge Fees$666.95
Rollover to 2021-2022$47,610.11
TOTAL$130,965.40
Childcare
#312
2020-2021
Published Budget$41,242.28
Rollover from 2019-2020$80,356.19
TOTAL$121,598.47
Expenses
Grants$19,450.00
Operating
Honoraria$150.00
Recharge Fees$1,237.28
Rollover to 2021-2022$100,761.19
TOTAL$121,598.47
Comm Personnel
#315
2020-2021
Published Budget$392,386.29
Income
Rollover from 2019-2020$259,654.17
TOTAL$652,040.46
Expenses
Salaries$381,429.53
Operating
Travel$120.00
Independent Contractors
Special Projects
Rollover to 2021-2022$270,490.93
TOTAL$652,040.46
CAB
#320
2020-2021
Published Budget$187,704.74
Income
Co-Sponsorship$500.00
Rollover from 2019-2020$84,728.94
TOTAL$272,933.68
Expenses
Workstudy$329.72
Student Salaries$0.00
Operating$978.11
Honoraria$11,457.00
Travel
Special Projects$139,314.41
Recharge Fees$5,630.68
Rollover to 2021-2022$115,223.76
TOTAL$272,933.68
Community Financial Fund
#323
2020-2021
Published Budget$314,278.66
Rollover from 2019-2020$88,590.26
TOTAL$402,868.92
Expenses
Staff Salaries$43,419.98
Grants$183,162.00
Operating
Travel/Prof Dev$1,091.25
Special Projects$18,293.39
Recharge Fees$3,122.32
Rollover to 2021-2022$153,779.98
TOTAL$402,868.92
EAB
#333
2020-2021
Published Budget$41,242.28
Rollover from 2019-2020$26,256.85
TOTAL$67,499.13
Expenses
Operating$1,153.61
Student salaries$3,303.11
Honoraria$9,780.00
Travel
Special Projects$1,215.29
Recharge Fees$1,237.28
Rollover to 2021-2022$50,809.84
TOTAL$67,499.13
EOP
#335
2020-2021
Published Budget$92,800.04
Allocation$50,000.00
Restitution$9,666.74
Rollover from 2019-2020$44,602.14
TOTAL$197,068.92
Expenses
Grants$129,718.67
Rollover to 2021-2022$67,350.25
TOTAL$197,068.92
COSWB
#338
2020-2021
Published Budget$48,020.40
TOTAL$48,020.40
Expenses
Operating$5,364.36
Honoraria$10,440.00
Travel$2,500.00
Special Projects$16,337.81
Recharge Fees$666.95
Rollover to 2021-2022$12,711.28
TOTAL$48,020.40
F&BC OSL Funding
#339
2020-2021
Published Budget$551,870.06
Rollover from 2019-2020$0.00
TOTAL$551,870.06
Expenses
SIOP$10,000.00
Club Sports$20,000.00
Grads/Culture Wks$5,596.76
Academic Teams$4,507.68
Conferences$50,000.00
General OSL Funding$132,831.64
Recharge Fees$5,463.81
Unspent
Rollover to 2021-2022$323,470.17
TOTAL$551,870.06
IV Arts
#340
2020-2021
Published Budget$104,276.47
Rollover from 2019-2020$93,948.08
TOTAL$198,224.55
Expenses
Honoraria$3,214.00
Magic Lantern
WORD$10,573.96
Shakespeare in the Park$3,820.12
Special Projects$139,387.19
Rollover to 2021-2022$41,229.28
TOTAL$198,224.55
IV Improvements
#348
2020-2021
Published Budget$204,294.52
Co-Sponsorship
Rollover from 2019-2020$68,122.92
TOTAL$272,417.44
Expenses
Operating$324.00
Honoraria$5,665.00
Special Projects$903.71
Allotments$210,803.67
Pardall Carnival
Fees$6,129.07
Rollover to 2021-2022$48,591.99
TOTAL$272,417.44
IV Tenants Union
#349
2020-2021
Published Budget$167,197.23
Crisis Fund Allocation
Senate Allocation$5,000.00
Rollover from 2019-2020$509,908.86
TOTAL$682,106.09
Expenses
Work study
Student salaries$18,804.73
Staff Salaries$51,201.86
Operating$24,442.10
Honoraria$9,625.00
Travel
Special Projects$13,916.79
Crisis Fund$22,674.08
Fees$5,015.62
Rollover to 2021-2022$536,425.91
TOTAL$682,106.09
Legal Resource Center
#350
2020-2021
Published Budget$192,585.82
Income
IVTU Legal Svc
Rollover from 2019-2020$148,556.91
TOTAL$341,142.73
Expenses
Independent Contractors$120,000.00
Staff Salaries$40,855.22
Operating$28,577.91
Honoraria$800.00
Travel
Special Projects$24.42
Fees$5,002.83
Rollover to 2021-2022$145,882.35
TOTAL$341,142.73
Recycling
#360
2020-2021
Published Budget$150,174.37
Income$720.00
Allocations
Rollover from 2019-2020$0.00
TOTAL$150,894.37
Expenses
Staff Salaries$32,820.59
Work study$0.00
Student salaries$24,875.66
Operating$6,287.71
Travel
Special Projects
Fees$3,754.82
Overspent 2019-2020$36,738.43
Rollover to 2021-2022$46,417.16
TOTAL$150,894.37
SCORE
#365
2020-2021
Published Budget$66,409.23
Allocation for SOCC
Rollover from 2019-2020$27,783.04
TOTAL$94,192.27
Expenses
Operating$1,600.00
Honoraria$9,550.00
Travel
Special Projects$19,602.88
Fees$1,257.73
Rollover to 2021-2022$62,181.66
TOTAL$94,192.27
Coastal Fund
#368
2020-2021
Published Budget$431,917.00
GSA Fees$26,127.75
Co-Sponsorships$15,250.00
Rollover from 2019-2020$183,510.67
TOTAL$656,805.42
Expenses
Student Salaries$12,825.49
Operating$157.65
Honoraria$4,780.00
Special Projects$18,839.70
Project Funding$433,577.31
Outreach$989.41
Co-Sponsorship
Coastal Service Program
Fees$12,957.42
Rollover to 2021-2022$172,678.70
TOTAL$656,805.68
Trans & Queer Commission
#379
2020-2021
Published Budget$126,306.42
Rollover from 2019-2020$53,327.20
TOTAL$179,633.62
Expenses
Operating$2,377.51
Honoraria$16,750.00
Travel
Special Projects$25,054.00
Pride$22,676.95
Recharge Fees$1,180.83
Rollover to 2021-2022$111,594.33
TOTAL$179,633.62
Commission on Marginalized Genders
#380
2020-2021
Published Budget$34,345.52
Rollover from 2019-2020$21,250.20
TOTAL$55,595.72
Expenses
Operating
Honoraria$3,105.00
Travel
Special Projects$6,500.00
Recharge Fees$1,030.53
Rollover to 2021-2022$44,960.19
TOTAL$55,595.72
Take Back the Night
#382
2020-2021
Published Budget$34,345.52
Rollover from 2019-2020$0.00
TOTAL$34,345.52
Expenses
Operating
Honoraria
Special Projects
Fees$1,030.53
Unspent$33,314.99
TOTAL$34,345.52
UCSA
#385
2020-2021
Published Budget$211,734.78
Appropriation$211,734.78
USSA
#386
2020-2021
Published Budget$176,692.45
Expenses
Student salaries
Operating
Travel
Special Projects$75,684.99
Fees$2,114.73
Unspent$68,892.73
Rollover to Trustee$30,000.00
TOTAL$176,692.45
WORMS
#398
2020-2021
Published Budget$136,393.88
Overspent 2019-2020
Rollover from 2019-2020
TOTAL$136,393.88
Expenses
Staff Salaries$10,940.20
Work Study
G/A$40,206.62
Operating$6,057.66
Travel
Overspent 2019-2020$661.03
Recharge Fees$1,511.11
Rollover to 2021-2022$77,017.26
TOTAL$136,393.88
Bike Shop
#200
2020-2021
Published Budget$111,672.00
Business Services Support
Income$1,229.05
TOTAL$112,901.05
Expenses
Parts
Student Salaries$15,330.41
Operating$4,190.33
Travel/Emp Dev
Business Services Support
Rollover to Building Fund$89,322.31
Recharge fees$1,671.21
Credit Card Fees$2,386.79
TOTAL$112,901.05
KCSB
#230
2020-2021
Published Budget$360,247.34
Income
Co-Sponsor$2,000.00
Rollover $56,755.25
TOTAL$419,002.59
Expenses
Student Salaries$187,968.96
Operating$52,508.03
Travel$1,202.00
Special Projects$4,612.57
Recharge fees$6,022.63
Unspent
Rollover to 2021-2022$166,688.40
TOTAL$419,002.59
AS Food Bank
#240
2020-2021
Published Budget$386,742.84
Co-Sponsorships$5,141.82
Donations$8,757.37
Allocation
Rollover from 2019-2020$354,200.69
TOTAL$754,842.72
Expenses
Staff Salaries$15,989.07
Student Salaries$41,104.28
Operating$28,306.97
Food Purchases$45,086.78
Travel
Special Projects$9,184.69
Recharge fees$2,341.49
Rollover to 2021-2022$612,829.44
TOTAL$754,842.72