Search found 62 matches

by Barbara
Wed Jan 02, 2013 10:51 am
Forum: SMUG Treasurer's Reports
Topic: Treasurer's Report January 2, 2013
Replies: 0
Views: 687

Treasurer's Report January 2, 2013

Treasurer's Report January 2, 2013 Statement Date 12/01/12 - 12/31/12 Beginning Balance $1711.09 Income: $275.00 - Dues $2.00 - Misc (kitchen tip) Expenditures: $10.00 - OlyPen Web Host $100.00 - St Lukes Hall (Dec & last Feb) $96.17 - Refreshments Ending Balance $1781.92 Petty Cash Fund $6.66 No Ac...
by Barbara
Wed Dec 05, 2012 12:41 pm
Forum: SMUG Treasurer's Reports
Topic: Treasurer's Report December 5, 2012
Replies: 0
Views: 573

Treasurer's Report December 5, 2012

Treasurer's Report December 5, 2012 Statement Date 11/01/12 - 11/30/12 Starting Balance $2003.08 Income: $52.00 - Dues Expenditures: $10.00 - OlyPen Web Host $74.63 - Refreshments $259.36 - Sound System Reimbursement Ending Balance $1711.09 Petty Cash Fund Balance $6.66 No Activity Total Funds Avail...
by Barbara
Tue Nov 06, 2012 9:06 pm
Forum: SMUG Treasurer's Reports
Topic: Treasurer's Report November 7, 2012
Replies: 0
Views: 584

Treasurer's Report November 7, 2012

Treasurer's Report November 7, 2012

Statement Date 10/01/2012 - 10/31/2012

Starting Balance $1983.08

Income:
$80.00 - Dues

Expenditures:
$10.00 - OlyPen Web Host
$50.00 - St Lukes

Ending Balance $2003.08

Petty Cash Fund Balance $6.66
No Activity


Total Funds Available $2009.74
by Barbara
Wed Oct 03, 2012 3:33 pm
Forum: SMUG Treasurer's Reports
Topic: Treasurer's Report October 3, 2012
Replies: 0
Views: 581

Treasurer's Report October 3, 2012

Treasurer's Report October 3, 2012

Statement Date 09/01/2012 - 09/30/2012

Starting Balance $2160.39

Income:
$8.00 - Dues

Expenditures:
$10.00 - OlyPen Web Host
$175.31 - Name Tags

Ending Balance $1983.08

Petty Cash Fund Balance $6.66
No Activity


Total Funds Available $1989.74
by Barbara
Wed Sep 05, 2012 1:59 pm
Forum: SMUG Treasurer's Reports
Topic: Treasurer's Report September 5, 2012
Replies: 0
Views: 613

Treasurer's Report September 5, 2012

Treasurer's Report September 2012 Statement Date 08/01/12 - 08/31/2102 Starting Balance $2169.57 Income: $82.00 - Dues $20.00 - Projector Rental Expenditures: $10.00 - OlyPen Web Host $50.00 - St Luke's $51.18 - Refreshments Ending Balance $2160.39 Petty Cash Fund $11.16 -$4.50 - Ten Forever Postage...
by Barbara
Mon Aug 13, 2012 7:20 pm
Forum: General Discussion
Topic: Internet in Scenic Downtown Joyce
Replies: 8
Views: 1134

Re: Internet in Scenic Downtown Joyce

I live off Camp Hayden Rd in the Joyce area. After having Hughes Net Satellite for 10 years, we dumped it and purchased from Verizon a neat little Mobile Hotspot - MiFi 4510L. When we purchased it in March, the price for the device was $50 and we got a $50 rebate. This is a great little device. It h...
by Barbara
Wed Aug 01, 2012 12:59 pm
Forum: SMUG Treasurer's Reports
Topic: Treasurer's Report August 1, 2012
Replies: 0
Views: 514

Treasurer's Report August 1, 2012

Treasurer's Report August 2012

Statement Date 07/01/2012 - 07/31/2012

Starting Balance $2208.96

Income:
$24.00 - Dues

Expensiditures:
$10.00 - OlyPen Web Host
$53.39 - Refreshments (Jun)

Ending Balance $2169.57

Petty Cash Fund $11.16

Total Funds Available $2180.73
by Barbara
Thu Jul 05, 2012 11:42 am
Forum: SMUG Treasurer's Reports
Topic: Treasurer's Report July 2012
Replies: 0
Views: 543

Treasurer's Report July 2012

Treasurer's Report July 2012

Statement Date 06/01/2012 - 06/30/2012


Starting Balance $2112.96.96

Income:
$156.00 - Dues


Expenditures:
$10.00 - OlyPen Web Host
$50.00 - St Lukes

Ending Balance $2208.96


Petty Cash Fund $11.16
No Activity


Total Funds Available $2220.12
by Barbara
Wed Jun 06, 2012 4:18 pm
Forum: SMUG Treasurer's Reports
Topic: Treasurer's Report June 6, 2012
Replies: 0
Views: 541

Treasurer's Report June 6, 2012

Treasurer's Report Statement Date 05/01/2012 - 05/31/2012 Starting Balance $2112.21 Income: $94.00 - Dues Expenditures: $10.00 - OlyPen Web Host $52.08 - Refreshments $31.17 - Entertainment (Adobe speaker) Ending Balance $2112.96 Petty Cash Fund $11.16 No Activity Total Funds Available $2124.12
by Barbara
Wed May 02, 2012 1:49 pm
Forum: SMUG Treasurer's Reports
Topic: Treasurer's Report May 2, 2012
Replies: 0
Views: 585

Treasurer's Report May 2, 2012

Treasurer's Report

Statement Date 04/01/2012 - 04/30/2012

Beginning Balance $2096.06

Income:
$138.00 - Dues

Expenditures:
$10.00 - OlyPen Web Host
$25.00 - OlyPen Renew Domain Name
$36.85 - Refreshments

Ending Balance $2112.21

Petty Cash Fund $11.16
No Activity


Total Funds Available $2123.37