|
|
|
|
|
|
Income/Expense Summary
Income ARRL-QST 34.00 Club Dues 30.00 Donated Equipment Sale 20.00 donations 10.00 Examiners Acct 10.00 Raffle 27.00 Total Income 131.00
Expense Examiners 17.36 Field Day 131.13 PO Box Rent 65.00 Postage 23.80 Printing 35.45 Telephone 22.99 Utilities 25.25 Total Expense 320.98
Net Income -189.98
|
|
|
|
|
|
|
|
|
|
|
As of August 31, 2001
ASSETS Current Assets Checking/Savings MAIN=CHK EQUI-CAP ACCT. 890.10 EQUIPMENT MAINTENANCE 591.00 EXAMINERS ACCT. 78.82 MAIN=CHK - Other 670.24 Total MAIN=CHK 2,230.16
Total Checking/Savings 2,230.16
Total Current Assets 2,230.16
TOTAL ASSETS 2,230.16
|
|
|
|
|
|
|