Treasurer Report. Sep - Oct, 2005

Minutes and Treasurer Reports from the Fellow Feathers monthly meetings.

Treasurer Report. Sep - Oct, 2005

Postby Attila » Tue Nov 08, 2005 3:12 pm

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
Attila
 
Posts: 14
Joined: Thu Apr 14, 2005 10:13 pm

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