|
Balance
Forward $1,777.03
Cash Receipts:
64 Meals @ $12.00 $
768.00
Cookbooks 320.00
Newsletter 24.00
Casino Trip 180.00
Door Prize Raffle 92.00
$1,384.00
Cash Disbursements
R.C.C. 62 Meals $
613.80
Free Membership 50.00
May Meeting Supplies (Name
Tags, Printing, Giveaways,
etc.) 67.10
Decorations for May Meeting
63.53
$ 794.43
Ending Balance May 31, 1999
$1,766.50
Respectfully Submitted:
Marian Lafayette, Treasurer |
|