JULY - 2005 
$4,305.52 Opening Balance 
Expenditures: 
$10.00 Bank fees 
$40.00 Site Clean-up 
$29.30 Pizza for meeting 
$79.30 total expenditures 
Deposits: 
$- Waivers/Donations 
$- total deposits 
$4,226.22 Ending Balance
			
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