DEC 2005	
	
	 $3,424.11 	Opening Balance	
	
	Expenditures:		
	 $10.00 	Bank fees	
	 $895.13 	Sticker Printing	
	 $7.57 	Meeting Supplies	
	 $120.00 	Site Maintanence (Oct-Dec)	
	 $47.12 	Pizza for meeting	
	 $1,079.82 	total expenditures
			
	Deposits:		
	 $1,115.00 	 Clubhouse Dues (2006)
	 $1,115.00 	total deposits	
			
	 $3,459.29 	Ending Balance	
			
		