LAFF Society

NEWSLETTER

FINANCIAL REPORT 2011

 

Balance on 12/31/10 $8,905.76
   
INCOME  
Dues, donations, interest  $6,175.67
   
EXPENSES  
Newsletters  $2,339.30
Secretarial services & supplies(Nixon) 426.64
PO Box, supplies & postage  202.09
Website expenses  1,020.00
National Program expenses 2,804.90
Google Checkout fees 51.66
Total Expenses  $6,844.59
   
Income - Expenses -$668.92
   
Balance on 12/31/11 $8,236.84
 

 


 

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