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Budget Reports

EdMinn- St. Francis Local 1977

Financial Report

April 15, 2014 to May 12, 2014

Treasurer: Carol A. Saba

 

 

Beginning Balance April 15, 2014

$48,082.28



Deposits:


Total AFT Dues Deposited

$14,198.38

Interest

$3.08

Total Deposits:

$14,201.46





Expenses:


Dues Paid

$28,453.62

Negotiations Reimbursement

$55.86

Negotiator Mileage

$228.66

Rep. Convention

$282.84

Postage & Supplies

$10.10

Crisis Fund

$62.61

Total Expenses:

$29,093.69





Ending Balance May 12, 2014

$33,190.05

  

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EdMinn- St. Francis Local 1977

Financial Report

March 10. 2014 to April 15, 2014

Treasurer: Carol A. Saba

 

 

Beginning Balance March 10, 2014

$30,987.31



Deposits:


Total AFT Dues Deposited

$42,730.33

EdMN Grant

$2,445.00

Re-licensure Seminar

$250.00

Interest

$6.71

Total Deposits:

$45,432.04





Expenses:


Dues Paid

$27,552.36

TA Reimbursement

$39.98

Re-licensure Seminar Costs

$649.49

Miscellaneous

$39.00

Crisis Fund

$56.24

Total Expenses:

$28,337.07





Ending Balance April 15p, 2014

$48,082.28

  

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