May 2016 Treasurer’s Report

Expenses exceeded income by $55 in May, as members have finished paying dues. Our ending available balance was about $5,000. For details please see the full report.

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1 Response to May 2016 Treasurer’s Report

  1. Christine says:

    I would still like to renew my membership even though I work and am unable to attend meetings in the day. Where do I send my check? I meant to do much earlier. Thanks.

    Christine Takerian


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