FRIENDS OF SCHNEIDERMAN

2008 11 Day Pre General Report Summary Page


 Opening Balance   $64,172.58    
 Contributions   $27,575.00    
 Miscellaneous Receipts   $.00    
 
 Total Receipts   $27,575.00
 Total Expenses   $3,536.30

 Closing Balance   $88,211.28
 
Report Date 09/21/18 09:09:29