June 2015 Treasurer’s Report

In June our club had $247.00 in income and $49.95 in expenses, raising our available balance from $1725.08 to $1922.13. We also have $3500 in our Asset Reserve Fund. Click here for the full report.

This entry was posted in SCVGS. Bookmark the permalink.

Leave a Reply

Fill in your details below or click an icon to log in:

WordPress.com Logo

You are commenting using your WordPress.com account. Log Out / Change )

Twitter picture

You are commenting using your Twitter account. Log Out / Change )

Facebook photo

You are commenting using your Facebook account. Log Out / Change )

Google+ photo

You are commenting using your Google+ account. Log Out / Change )

Connecting to %s