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Treasurer's Report. May 2007

PostPosted: Mon Jun 11, 2007 9:21 pm
by mdaniel
May 2007
Opening Balance: $4,355.04


Expenditures:
$10.00 Bank fees
$43.75 Pizza for meeting
Extraordinary expenditures:
$690.24 New online Weather Station & network parts
Total expenditures: $743.99

Deposits:
$20.00 Club House
$520.00 Donations
Total deposits: $540.00

Ending Balance: $4,151.05