END-OF-YEAR FINANCIAL REPORT – mth feb 2010

Ninepatch Treasurer, June Poucher, presented the following report at our January Board Meeting. Members approved it and agreed it was very similar to the 2008 report.

Ninepatch Annual Summary
12/31/09

Cash carryover $189.40
Contributions 741.00
Donations in Kind 16.90
Total income 947.30

Expenses:
Printing & Copying 194.66
Postage 164.58
Office Supplies 5.00
Website, AOL, LD 229.90
Licenses 81.25
PO Box rent 60.00
Total expenses 735.39

Cash balance
12/31/09 $211.91

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