Treasurer's Report:   DECEMBER	
	
 $4,493.45 	Opening Balance	
Expenditures:		
 $10.00 	December bank fees	
 $130.00 	PG&E,  2005 (12 mos)	
 $300.00 	Phone, 2005 (6 mos)	
 $150.00 	Web Cam Service	
 $30.00 	returned checked from club member	
 $40.00 	Site Clean-up Service	
 $48.60 	Pizza for meeting	
 $708.60 	total expenditures	
Deposits:	
 $40.09 	Club dues	
 $40.09 	total deposits	
 $3,824.94 	Ending Balance
			
		