Thursday, September 5, 2019

Treasurer's report 3-2019

Treasurer's report March 1, 2019 - March 31, 2019 03/01/09 Beginning cash balance $6,160.37 03/05/19 Deposit (2019 dues) +3,450.00 9,610.37 03/15/19 Com Ed -43.15 9,567.22 03/26/19 Deposit (2019 dues) +2,550.00 12,117.22

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