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Treasurer's Report by Steve Rogers |
At
4/1/01 we had a balance of $4,534.62. Income during the period was $1,284.09 as
follows: $1,084.09 from 2001 convention, and $200 from contributions. Expenses
for the period was $2,313.64 as follows: $305.81 for 2001 convention misc.,
$132.39 for 2001 convention awards; $1,182.49 for 2001 newsletter, $177.40 for
2001 web site costs, $500.00 for 2003 convention deposit, and $15.55 for checks.
At 12/31/01 we have a balance of $3,505.07. Additionally we have $500.00 on
deposit for the 2002 convention.