SEP - OCT, 2005		
	 $3,610.91 	Opening Balance		
	Expenditures:				
	 $20.00 	Bank fees		
	 $40.00 	Site Clean-up		
	 $42.50 	Pizza for meeting		
	 $102.50 	total expenditures		
	Deposits:			
	 $326.00 	 Waivers/Donations 		
	 $326.00 	total deposits		
	 $3,834.41 	Ending Balance
			
		