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<br />RECEIPTS AND DISBURSEMENTS - NOVEMBER 11- 22, 1993 <br />BALANCE IN GENERAL FUND AS OF NOVEMBER 11, 1993 <br /> <br />$156,550.57 <br /> <br />RECEIPTS - $8,674.57 <br /> <br />$ 8,674.57 <br />$165,225.14 <br /> <br />DISBURSEMENTS <br /> <br />- $10,269.99 <br /> <br />$ 10,269.99 <br /> <br />SUB TOTAL $154,955.15 <br /> <br />ADJUSTMENTS <br />Check # 6602 Voided out <br />Check # 6947 Voided out <br /> <br />+ $ <br />+ $ <br /> <br />20.00 <br />46.82 <br /> <br />BALANCE IN CHECKING ACCOUNT AS OF NOVEMBER 22, 1993 <br /> <br />$155,021.97 <br />