Thursday, September 5, 2019

Treasurer's Report 12-2018

Treasurers Report December 1, 2018 thru December 31, 2018 12/01/18 Beginning cash balance 6332.89 12/12/18 ComEd (electricity) - 44.19 6288.70 12/31/18 Ending cash balance 6288.70

No comments:

Post a Comment