Financial Report

Financial Report for the Period 2019-06-01 to 2020-11-08 (cash basis)
IncomeExpensesCash Balance
Donations754.50Advertising493.10Opening2246.75
Memberships, new415.00Internet (website, mailings, Facebook)103.49
Memberships, renewal2420.00Directors Insurance550.00
Other0.17Regulatory Compliance40.00
Meeting Expense & Refreshments100.29
Honoraria & Gifts550.00
Total Income3589.67Total Expense1836.88Net Change1752.79
Closing3999.54