Current Financial Report
by Treasurer Sharon Lieberman. Period covering 8/1/20 – 7/31/21. Beginning balance as of 8/1/20 $2608.37 (accumulated from prior year dues) Income: + $900.00 member dues + $0.51 interest - $704.30 expenses: $500 scholarship, $56 PO Box, $48.30 advertising, $100 membership fee Ending balance as of 7/31/21 $2804.58 |