2015 Treasurer’s Reports

For more detail, contact Kim Hand, Treasurer.

April

$232,369.65 Total Cash On-Hand on 3/31/15
$2,915.32 Deposits
$652.89 Expenditures
$234,632.08 Total Cash On-Hand on 4/30/15

March

$232,502.65 Total Cash On-Hand on 2/28/15
$0.00 Deposits
$133.00 Expenditures
$232,369.65 Total Cash On-Hand on 3/31/15