FRIENDS OF CARL

2010 27 Day Post General Report Summary Page


 Opening Balance   $2,075,512.80    
 Contributions   $36,750.00    
 Miscellaneous Receipts   $3,938.33    
 
 Total Receipts   $40,688.33
 Total Expenses   $227,734.92

 Closing Balance   $1,888,466.21
 
Report Date 08/21/19 11:08:40