Financial Report - May 2011

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Freedom Fest 2011 Financial Report - May 5/30/2011

As Of May 30, 2011:

Cash Balances
Bank Account $ 2,554.79
PayPal $ 2,127.81

Total Cash Balances: $ 4,682.60

Liabilities
Outstanding Checks $ (1,171.10)
Outstanding Credit Cards (Perdie's Travel) $ (285.40)
$ (1,456.50)

Remaining Cash Balances: $ 3,226.10

Total Donations To Date $ 1,228.00


Total Sponsorships To Date $ 5,000.00

Total Expenditures To Date $ 5,121.61

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