2024 Annual General Meeting (AGM)

2023 Treasurer's Financial Report

Treasurers Financial Report
Bank Balance Beginning Balance114.22
INCOME
Dues & Donations3825.58
EXPENSES
Property Taxes811.02
Property Insurance1056.68
Printing & Postage 150.21
Lawn care
Web hosting and security160
Domain Name19.84
Supplies27.11
Bank Fees65.4
Park Maintenance1243
TOTAL INCOME3825.58
TOTAL EXPENSES3533.26
Retained Earnings292.32
Bank Balance Dec 31-23406.54