JUNE - 2005	
 $4,936.06 	Opening Balance
Expenditures:	
 $10.00 	May bank fees
 $40.00 	Site Clean-up
 $103.08 	Waiver printing
 $196.46 	Club lock change and key mailout
 $133.25 	Paint/supplies - Parking Area
 $250.00 	Reginal USHGA Representive, partial travel reimbursement
 $27.75     Pizza for meeting
 $760.54 	total expenditures
Deposits:	
 $130.00 	Club dues
 $ 0.00   	 Waivers/Donations 
 $130.00 	total deposits
 $4,305.52 	Ending Balance
			
		