Treasurer's Report. March 2007

Minutes and Treasurer Reports from the Fellow Feathers monthly meetings.

Treasurer's Report. March 2007

Postby mdaniel » Wed Mar 21, 2007 6:52 pm

March 2007
Opening Balance: $4,498.99


Expenditures:
$10.20 Bank fees
$80.00 Site Maintanence (Mar-Apr)
$43.75 Pizza for meeting
$180.00 WindTalker phone line (Mar-Nov)
Total expenditures: $313.95

Deposits:
$150.00 Club House
$30.00 Donations
Total deposits: $180.00

Ending Balance: $4,365.04
mdaniel
 
Posts: 24
Joined: Sun Sep 10, 2006 8:53 am

Return to Meeting Minutes and Treasurer Reports

Who is online

Users browsing this forum: No registered users and 5 guests