March, 2006

 

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