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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