| Treasurer Report (Scotty) | ||
| Beginning Balance | $1552.55 | |
| Prudent Reserve | - | $500.00 |
| Cash on Hand | $1052.55 | |
| Expenses | ||
| DCM Convention ck #1353 | $250.00 | |
| Workshop | ck #1355 | $57.89 |
| ck #1394 | $23.07 | |
| ck #1395 | $88.98 | |
| ck #1396 | $255.29 | |
| Total Expenses | - $675.23 | |
| Contribution | ||
| Groups | $25.00 | |
| District Mgt. | $12.00 | |
| Total Contributions | $37.00 | |
| Total Cash On Hand | $414.32 | |
| Prudent Reserve | $500.00 | |
| Ending Balance | $914.32 |