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Financial Statement - 2014 Q2

Cash Flow Report Prince Edward Radio Club 2Q 2014
1/4//14 Through 30/6/14

Balance April 1, 2014 $638.71



INFLOWS

50/50 Draw 8.00
Membership Dues 100.00
Interest .01
TOTAL INFLOWS 108.01


OUTFLOWS
Telephone 87.97
Bank Fee 2.50
IC Renewal 30.00

TOTAL OUTFLOWS 120.47

OVERALL TOTAL (12.46) (12.46)




Balance June 30, 2014 $626.25
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Matthew Dwight,
Jan 12, 2016, 11:17 AM
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