Renfrew South District WI Programs, 1956-57, p. 2

The following text may have been generated by Optical Character Recognition, with varying degrees of accuracy. Reader beware!

FINANCIAL STATEMENTS District Cash on hand from previous year ____________ $ 23.93 Total receipts for year ._.._______________________ 919.32 $ 943.25 Total expenditures for year .______________ $ 891.75 Balance on hand L.._.______________cccclcccccccccll 51.50 $ 943.25 Combined Branches Cash on hand from previous year _________._ $2,293.55 Total F@C@iIpt$ _____cccuccccclllclclllcnccncccclllcnicnlllln. 4,275.25 $6,568.80 Total Expenditures _ __._.__uculclclclcccccccccccc _ 4,773.15 Balance on hand _ _c_c2ccccclclclccccccccccccc__1,795.65 $6,568.80 _ 3 _

Powered by / Alimenté par VITA Toolkit
Privacy Policy