Financial Report - 2-23-10
Balance Fwd. from Jan. 2010 $ 1,008.95
Deposits:
New Hope Group $ 60.00
7am E.B. Group $ 20.00
Randville Group $ 25.00
Total $ 105.00
Withdrawals:
2/11 AT&T ck#1242 $ 35.14
1/26 C. Wollum ck# 1243 $ 25.00
1/28 Grpvne. Sbsctn. ck# 1244 $ 81.00
2/6 U.S. Pstmstr P.O. Box ck# 1245 $ 44.00
Total $ 185.14
Balance Feb 2010 $ 928.81
We are self-supporting through our own contributions.
Respectfully,
Joanne B. Treasurer District 17