MARCH 16, 2013

This is a transcript of the monthly meetings, as well as any other official updates from members of the association. You can't post messages here, this is READ ONLY.
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louiem
Posts: 222
Joined: Thu Sep 06, 2007 11:56 am

MARCH 16, 2013

Post by louiem »

MARCH 16, 2013
10:00 AM
BEGINING BALANCE $46480.64
DEBITS $2719.13
CREDITS $2910.00

FIRE STATION $9054.09
PARK $203.08

EREA CHECKING BALANCE $37449.10

5 LOADS OF GRAVEL WEE PURCHASE AND ARE CURRENTLY BEING SPREAD INTO POTHOLES ON VARIOUS SIDE ROADS BY OUR ROAD CREW. 5 ROADS COMPLETED SO FAR.

BARS WERE INSTALLED IN THE FIRE STATION WINDOWS DUE TO VANDELS ONCE AGAIN ATTEMPTING TO BREAK IN.

ADJOURNED 10:30AM
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