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continued from page 33
30, 2019: Cash Balance, September 1, 2019 $824,135.46 Receipts $826,143.26 $1,650,278.72 Expenditures $1,408,853.16 $241,425.56 Payroll $83,789.29 Cash Balance, September 30, 2019 $157,636.27 Motion by Frami, second by Miller, to approve the financial statement for September 30, 2019 as printed.
All voting AYE. Motion carried.
Motion by Frami, second by Miller,