Finance Committee Reports

Financial Reports
Audit Reports
Committee Reports
Archived Treasurer Reports
-
2022 Monthly Financial Report
Month Deposits Withdrawals Ending Balance Link to Details 12 $801.61 $ 0 $ 4440.30 Dec 2022 11 $ 211.70 $ 15.00 $ 3638.69 Nov 2022 10 $50.00 $ 0 $ 3441.99 Oct 2022 9 $50.96 $ 0 $ 3391.99 Sept 2022 8 $97.52 $ 0 $ 3341.03 Aug 2022 7 $ 0 $ 0 $ 3243.51 July 2022 6 $ 87.00 $ 113.91 $ 3243.51 June 2022 5 $103.99 $ 0 $3270.42 May 2022 4 $ 220.50 $ 593.00 $ 3166.43 April 2022 3 $ 1558.87 $3217.94 $ 3538.93 March 2022 2 $ 1778.71 $ 0 $ 5198.00 February 2022 1 $3443.28 $23.99 $3419.99 January 2022