Sky Streakers Monthly Business Meeting Report
Meeting Date: September 10, 2023
President Paul Attwood started the meeting at 9:00 A.M. with 16 members present.
Treasurer’s Report: The Treasurer’s report as presented by Paul Attwood was as follows:
The ending balance for July was $7,882.45.
The August ending balance is $7,752.45.
The report was accepted as given.
Note: The detailed record from the treasurer’s spread sheet appears below:
7/11/23
|
deposit- $70.00 Bill Reeve (2024); $563.00 shirts & hats
|
|
$633.00
|
|
|
7/13/23
|
dues- Donald Bussiere
|
|
$70.00
|
|
|
7/13/23
|
check 1291- IMAC starting cash
|
|
-$50.00
|
|
|
7/18/23
|
deposit- IMAC- $574.00; dues Antone Silvia
|
|
$644.00
|
|
|
7/21/23
|
check # 1292- expenses IMAC
|
|
-$186.74
|
|
|
7/31/23
|
deposit- $70.00 Stephen Bell; $63.00 Mark Jackson
|
|
$133.00
|
|
|
|
|
|
|
|
|
|
deposits for July
|
|
|
$1,480.00
|
|
|
expenses for July
|
|
|
$236.74
|
|
|
|
|
|
|
|
|
ending balance for July 2023
|
|
|
|
$7,882.45
|
|
|
|
|
|
|
8/8/23
|
check #1293- Andy Dixon Training plane
|
|
-$215.00
|
no items listed in the last 6 months
|