Treasurer's Report. December 2007.

Minutes and Treasurer Reports from the Fellow Feathers monthly meetings.

Treasurer's Report. December 2007.

Postby mdaniel » Mon Jan 21, 2008 7:19 pm

December 2007
Opening Balance: $2,997.37


Expenditures:
$10.00 Bank fees.
$68.85 Pizza for meeting.
$40.00 Site maintenance.
$ 5.00 Supplies.
Total expenditures: $123.85

Deposits:
$895.00 Membership dues 08
$50.00 Donations 08
Total deposits: $945.00

Ending Balance: $3818.52
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 6 guests