Boy Scout Troop 108
Financial Report
As of 11/30/2000
Return to Committee Meeting Information
Beginning Balance: 10/30/00 $1,213.59
Deposits Made $986.43
11-21 Meth. Men Recharter $ 20.00
11-21 Summer Camp Income 110.00
11-21 OA Registration 160.00
11-21 OA Shirts 60.00
11-21 OA Dues 24.00
11-21 Reenactment Income 532.43
11-21 Camporee Income 80.00
Withdrawals Made $ 88.69
11-17 Brookshire Bros -
Reenactment -Food $75.75
11-21 Camporee Food 12.94
Ending Balance On 11/30/2000 $2,111.33