AFSCME LOCAL 2017 EXPENSE AND
FINANCIAL REPORT 2008

                            January 2008
                            Beginning Balance +4293.08
                            31.00 People Meeting 1-5-08 Bill S gas
Ending Balance +4262.08

February 2008
Beginning Balance +4262.08
-38.15 Copies for Newsletter
Ending Balance +4223.93

March 2008
Beginning Balance +4223.93
+188.50 Nov 07 Rebate
+194.30 Dec 07 Rebate
+198.00 Jan 08 Rebate
-34.02 People Meeting Gas
-20.00 membership drive rebate
-184.76 Food and Beverage March meeting
Ending Balance $4567.93

April 2008
Beginning Balance $4567.93
-100.00 Donation to Hospice
- 28.00 Gas Council 79 Meeting 3/28-30/08
- 10.98 Food Council 79 Meeting 3/28-30/08
-8.25 Food Council 79 Meeting 3/28-30/08
-8.32 Food Council 79 Meeting 3/28-30/08
-39.00 Gas Council 79 Meeting 3/28-30/08
-191.26 Hotel Council 79 Meeting 3/28-30/08
-30.00 People Meeting Gas
-106.00 Stamps Newsletter
-51.57 Food E Board 3/4/08
-33.88 Food e Board 4/2/08
-16.00 Change locks PO Box
Ending Balance $3944.07


                

AFSCME LOCAL 2017 EXPENSE AND
FINANCIAL REPORT 2008

May 2008
Beginning Balance +3944.07
+201.00 Feb Rebate
-49.00 Gas May People meeting
-13.15 Food May People meeting
Ending Balance +4082.92

June 2008
Beginning Balance +4082.92
-22.03 Food May meeting
-40.00 PO box Renewal
-90.09 Printer
-41.34 Newsletter Copies
- 49.67 Food E Board Meeting labels
- 20.00 membership Drive
- 20.00 membership drive
- 178.29 Pates member meeting

Ending Balance +3621.50

July 2008 Starting Balance
+3621.50
+ 259.20 March April May Rebate
- 42.52 Trophy World Drago retirement
- 80.56 Trophy World E Walker retirement
- 20.00 membership drive

Ending Balance $3737.62



August 2008 Starting Balance
+3621.50
no activity
Ending Balance
+3621.50