Treasurer's Report
for October, 2001

Previous Balance as of
October 1, 2001 |
$40,422.54 |
| Total Income to Checking |
$595.14 |
| Other Income |
$0.00 |
| Disbursements from Checking |
$12,298.70 |
| Other Disbursements |
$0.00 |
| Income to Savings |
$23.78 |
| Disbursements from Savings |
$0.00 |
Total Chapter Funds
as of October 31, 2001 |
$28,742.76 |
by Brad Minnis CPP
Chapter Treasurer
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