Treasurer's Report August 7, 2013
Statement Date 07/01/2013 - 07/31/2013
Beginning Balance $2949.25
$20.00 - Dues
$10.00 - OlyPen Web Host
$29.72 - Refreshments, June
$28.46 - Refreshments, July
Ending Balance $2901.07
Petty Cash Fund $22.45
Total Funds Available $2923.52
There will be no dues for 2018 until further notice, and all meetings in 2018 will be in Sequim!
Note: This Announcement can be dismissed by clicking the (magically appearing) X in the top right corner of this box.
Monthly updates on our financial status
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