| Financial Report for the Period 2019-06-01 to 2020-11-08 (cash basis) | ||||||
| Income | Expenses | Cash Balance | ||||
| Donations | 754.50 | Advertising | 493.10 | Opening | 2246.75 | |
| Memberships, new | 415.00 | Internet (website, mailings, Facebook) | 103.49 | |||
| Memberships, renewal | 2420.00 | Directors Insurance | 550.00 | |||
| Other | 0.17 | Regulatory Compliance | 40.00 | |||
| Meeting Expense & Refreshments | 100.29 | |||||
| Honoraria & Gifts | 550.00 | |||||
| Total Income | 3589.67 | Total Expense | 1836.88 | Net Change | 1752.79 | |
| Closing | 3999.54 | |||||