AFSCME LOCAL 2017 EXPENSE AND FINANCIAL REPORT 2007

September 2007
Beginning Balance + $5106.47

No activity

October 2007 Beginning Balance +5106.47
-112.34
(79.50+32.84 voting day refreshments)
(August Meeting Food) -36.11
(July and August Rebate) + 316.10
Ending Balance +5274.12

November 2007
Beginning Balance +5274.12
-73.35 Pizza Oct meeting
-82.56 Stamps letter Mark
-72.50 gas people meeting
-372.80 shirts Board members
Ending Balance +4672.91

December 2007
Beginning Balance +4672.91
(September October Rebate) +353.80
-$160.00 membership drive
-116.34 Pates membership meeting
-289.75 Orlando people meeting Mark S
-29.00 gas Tampa meeting Bill S
-138.54 Steward training copies
Ending Balance +4293.08