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Financial Statement - 2015 Q3

Cash Flow Report Prince Edward Radio Club 3Q 2015
1/7//15 Through 30/9/15

Balance July 1 2015 594.12



INFLOWS

50/50 Draw 27.00
Membership Dues 50.00
TOTAL INFLOWS 77.00


OUTFLOWS
Bank Fee 7.50
Field Day Expense 90.00

TOTAL OUTFLOWS 97.50

OVERALL TOTAL -20.50 -20.50




Balance Sept 30, 2015 $573.62

Subpages (1): 2015
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Matthew Dwight,
Jan 12, 2016, 11:30 AM
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