EdMinn- St. Francis Local 1977
Financial Report
April 15, 2014 to May 12, 2014
Treasurer: Carol A. Saba
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Beginning Balance April 15, 2014 |
$48,082.28 |
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Deposits: |
|
|
Total AFT Dues Deposited |
$14,198.38 |
|
Interest |
$3.08 |
|
Total Deposits: |
$14,201.46 |
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Expenses: |
|
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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 |
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Ending Balance May 12, 2014 |
$33,190.05 |