July 2011 Treasurer’s Report

Income for July was $30.00 from dues and $2.74 in contributions.

Expenses for July were $65.59 for Comcast Internet Services.

Beginning Balance $4667.99*

Total Income 32.74

Total Expenses 65.59

Ending Balance $4635.14*

*Includes $3000.00 Asset Reserve

Ken Jordan

Treasurer

This entry was posted in SCVGS. Bookmark the permalink.