Treasurer's Report
JUNE 2004	 
$4,165.34 Opening Balance
Expenditures:	
$10.60 	June bank fees
$109.65 	SBC
$27.50 	Pizza for meeting
$147.75 	total expenditures
Deposits:	
$-   	
$-   	total deposits
 $4,017.59 	Ending Balance
			
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