Thursday, September 5, 2019

Treasurer's report 11-2018

Treasurer's Report, November 1, 2018 - November 30, 2018 11/01/18 Beginning cash balance 6652.50 11/09/18 Com Ed (electricity) -39.61 6612.89 11/16/18 Dufrain Lawn Care -280.00 6332.89 11/30/18 Ending cash balance 6332.89

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