USS HAYNSWORTH (DD 700) REUNION COMMITTEE
Financial Report for 2nd Quarter 2005
Balance Forward (from Financial Report for 1st Quarter 2005)
$12633.75
Income – 4/1/05
to 6/30/05
2005
Reunion
Reservations
1166.00
28 Shipmates paid dues totaling
640.00
2 ship’s
patches
sold
10.00
4 hats
sold
36.00
Total
income (4/1/05 to 6/30/05) $1852.00
Expenses
– 4/1/05 to 6/30/05
May Newsletter printing (635
copies) 382.83
NOTE
May
Newsletter postage (635 copies)
234.95
May Newsletter misc.
expenses
13.38
Total expenses (4/1/05 to
6/30/05)
$631.16
DUES FOR 2005
($20) ARE DUE
AND PAYABLE
Starting
balance $12633.75 BY 28 February
Plus Income
1852.00 2005
$14485.75
Less Expenses
-631.16
Balance
$13854.59
Bank Balance as of
6/30/05 $13854.59
Many thanks to all our dues
paying shipmates!
Respectfully submitted,
David J. Oberholzer - Treasurer
Received: July 26,
2005
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