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Now a word from your Treasurer, Sandy Cunnagin…

Fiscal Year Activity
through June 30, 2016

Beginning Cash Balance $3,313
   Dues from National 6,268
   Event Income 70
     Total Income…….. 6,338
  Administrative 1,068
  Event Subsidies 572
     Total Expenses……… 1,640
Ending Cash Balance as of 6/30 $8,011
  *Dues from National (July)


This *deposit brings the bank balance to          $9,246

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