2024 Annual General Meeting (AGM)
2023 Treasurer's Financial Report
Treasurers Financial Report | |
---|---|
Bank Balance Beginning Balance | 114.22 |
INCOME | |
Dues & Donations | 3825.58 |
EXPENSES | |
Property Taxes | 811.02 |
Property Insurance | 1056.68 |
Printing & Postage | 150.21 |
Lawn care | |
Web hosting and security | 160 |
Domain Name | 19.84 |
Supplies | 27.11 |
Bank Fees | 65.4 |
Park Maintenance | 1243 |
TOTAL INCOME | 3825.58 |
TOTAL EXPENSES | 3533.26 |
Retained Earnings | 292.32 |
Bank Balance Dec 31-23 | 406.54 |