Treasurer’s Report – Rick Ring

 
Starting Monthly Budget Balance For May2022$21,947.40
 
May 2022 Deposits (INCOME)  =$1,137.47
May 2022 EXPENSES =$3,500.00
 
Ending Monthly Budget Balance For May 2022 =$19,584.87
 
Uncashed Checks as of: 3 Janjuary 2022Check #Check ItemCheck Amt:Date of ChkVoucher #
None
 Total$0.00  
Closing Bank Statement Balance$19,584.87  
Closing Bank Register Balance$19,584.87
Treasurer’s Signature
Date Updated: 9 June 2022
Bank Register is Reconciled.
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Author: Mike Eggleston

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