Funds & Financial Report – 2013

Annual Meeting Fetch Dog Park Treasurers Report December 5, 2013

Estimated bank balance June 2013 $10,000.00

Expenses 2013 $ 1,721.14

Income from tag sales $ 3,000.00 Approximate

Reimbursements to be made to:

1. Dr John Mason for park rules book printing and petty cash fund

$254.00

2. Darrel Jacobs for gas, fertilizer and park tools etc.

$565.11

3. Amount to bring petty cash back

$50.00

4. Gas card for 2014

$500.00 These 4 items total $1,369.11

TO COVER THESE REIMBURSEMENTS, PETTY CASH NEEDS AND GAS CARD

PLEASE ISSUE A CHECK TO: ELISABETH GRZELAK, TREASURER FETCH DOG PARK, $1369.11

Estimated New Balance 10,000-1721.14=8278.86+3000.00=$11,278.86 estimated new balance

Elisabeth Grzelak,Treasurer Fetch Dog Park