Boy Scout Troop 108
Financial Report
As of 02/28/2001
Return to Committee Meeting Information
Beginning Balance: 01/31/2001 $1941.18
Deposits Made $1,659.00
Recharter $ 309.00
Summer Camp $1350.00
Withdrawals Made $ 849.00
Camp Deposit $420.00
Aelite Coach $100.00
Recharter $329.00
Ending Balance On 02/28/2001 $2751.18