MARCH - 2005
 $3,194.63 	Opening Balance
Expenditures:	
 $10.10 	March bank fees
 $148.39 	Glider Racks repair mat.
 $144.58 	Wavier printing/Web site renewal
 $98.10 	Clubhouse Keys/Applications
 $40.00 	Site Clena-up Services
 $28.75 	Pizza for meeting
 $469.92 	total expenditures
Deposits:	
 $178.00 	Club dues
 $178.00 	total deposits
 $2,902.71 	Ending Balance
			
		