Export as PDF
Back
Monthly Financial Report (S-44)
Period
: March 2024 •
Generated
: 2024-03-05
Summary
Total Receipts
$12,450.00
Total Expenditures
$3,240.00
Surplus/Deficit
$9,210.00
Details
Account
Amount
Donations
$8,400.00
Hall Expenses
$2,000.00