Now a word from your Treasurer, Sandy Cunnagin…
Fiscal Year Activity | |
Beginning Cash Balance | $3,313 |
Income | |
Dues from National | 6,268 |
Event Income | 70 |
Total Income…….. | 6,338 |
Expense | |
Administrative | 1,068 |
Event Subsidies | 572 |
Total Expenses……… | 1,640 |
Ending Cash Balance as of 6/30 | $8,011 |
*Dues from National (July) | 1,235 |
This *deposit brings the bank balance to $9,246
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