Treasurer's Report
February 2015
Balance on 12/01/14 | $2,027.85 |
Income | $1,680.76 |
Expenses | $2,093.42 |
Balance on 12/31/14 | $1,615.19 |
Income breakdown as follows:
- $ 308.76 NARFE Chapter 65 dues from CSFC
- $ 207.00 Fundraiser ticket money
- $1140.00 Luncheon money collected
- $ 25.00 Member donation
Expenses breakdown as follows:
- $ 220.00 9494 Permit fee renewal for 1 year
- $ 263.47 BSN December newsletter
- $ 300.00 Deposit to 9494 Permit account
- $1140.00 Payment for December luncheon
- $ 150.00 Fundraiser prize winners paid
- $ 19.95 Renewal of website domain name for 1 year
Dianne Joseph
Treasurer, Chapter 65
Archived reports are available for viewing.