Boy Scout Troop 108
Financial Report
As of 01/31/01
Return to Committee Meeting Information
Beginning Balance: 12/31/2001 $1941.18
Deposits Made $ 166.21
Scouts - Camp Out $87.00
Left over Food Purchased $37.41
Adults - Camp Out $41.80
Withdrawals Made $ 166.21
Camp Out
Ending Balance On 01/31/2001 $1,941.18