| Description | Beginning Balances |
Additions |
Ending Balances |
| On Hand 2/21/06 | 4,180.58 | ||
| Income since last meeting: | |||
| Raffle - meeting | 91.00 | ||
| Membership Dues | 210.00 | ||
| Total Income |
301.00 |
||
|
Expenses |
|||
| Postage | 74.00 | ||
| Refreshments | 39.10 | ||
| Total Expenses |
113.10 |
||
| Balance on hand 3/13/06 |
4,368.48 |
||
| Charity Fund | 3,044.72 | ||
|
General Fund |
1,323.76 |