2013 Financial Statement
January 1st - December 31stOpening Balance as of January 1, 2013 | $8,670 | ||
---|---|---|---|
Calendar Year Contributions: | $38,047 | ||
Disbursements: | Amount | ||
Bank Service Charges | $96 | ||
Barge Service | $975 | ||
Bookkeeping | $1,221 | ||
Pyrotecnico | $30,000 | ||
Fireworks Clean-Up | $300 | ||
Permit | $30 | ||
P.O. Box | $156 | ||
Printing & Mailing | $1,417 | ||
Website | $1,874 | ||
Total Disbursements: | $36,069 | ||
Ending Balance as of December 31, 2013 | $10,648 |