|
| Treasurer's Report
|
| Previous Balance as of July 1, 2001 |
$57,223.65 |
| Total Income to Checking | $3,055.80 |
| Other Income | $0.00 |
| Disbursements from Checking | $1,229.17 |
| Other Disbursements | $0.00 |
| Income to Savings | $32.70 |
| Disbursements from Savings | $0.00 |
| Total Chapter Funds as of July 31, 2001 |
$59,082.98 |
by Brad Minnis CPP
Chapter Treasurer