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 |