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| NENA Treasurer's Report | December 9, 2005 | |||||
| Previous Balance March 11, 2005 | $8,984.06 | |||||
| Checks: | ||||||
| 1174 | $1,054.00 | |||||
| 1175 | $718.41 | |||||
| 1176 | $231.64 | |||||
| 1177 | $1,163.60 | |||||
| 1178 | $278.00 | |||||
| 1179 | $86.05 | |||||
| 1180 | void | |||||
| 1181 | $250.18 | |||||
| 1182 | $57.12 | |||||
| 1183 | $10.00 | |||||
| 1184 | $1,770.00 | |||||
| 1185 | $98.88 | |||||
| $5,717.88 | ||||||
| Deposits: | ||||||
| $795.00 | ||||||
| $945.65 | ||||||
| $633.00 | ||||||
| $2,373.65 | ||||||
| Balance: | $5,639.83 | |||||