Current financials
Friends of West 11th Street Park
Statement of Revenue and Expenses
for the 12 months ending 12/31/2012
Revenues
Contributions 3,075.11Interest Income 15.93
Total Revenues 3,091.04
Expenses
General maintenance
Dog waste bags 423.10
Roundup, sprayer 58.36
Total 481.46
Wildflower gardens
Supplies 235.49
Total 235.49
Other expenses
P.O. box rental 70.00Insurance 595.00
Tree Project 104.61
Total 769.61
Wireless Wilderness cell phone tour
Signage 25.00
Website 390.66
Carrier Subscription 2,640.00
Total 3,030.66
Total Expenses 4,517.22
Net Cash Expenses -1,426.18
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