Treasurer’s Report for May -2022 IMDC Meeting
Treasurer’s Report for May -2022 IMDC Meeting
(for the period 4/1/22 to 4/30/22)
Assets
Cash in the bank: $9884.18
Receivables: $0
Liabilities
Payables: $360.00 Donation to Haschak Campaign on 4/26/22
Fund Balance $9884.18
Income and Expense (since last report)
Donations and memberships: $133.61
Interest earned $0.50
Expenses
Net income over Expense since last Report ($226.39)
In-kind Income-Expense $0
Membership Report:
72 Members in good standing
78 Lapsed/Expired memberships