Month: May 2011

Central Office Bulletin – May 2011

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District 21 – May 2011

May 15th, 2011 District 21 Minutes 12 Traditions read by Michael F. Officer Reports Secretary’s Report (Michael .): Treasurers Report (Jay D.): Beginning Balance $403.87 In Caferiteria 50.00 Out $10.00 (rent) Ending Balance 443.87 Intergroup Liaison Report (Emily S.): Did

Special Events – May 2011

Met on 5/15/11. Balance: $975.00. There are some flyers out with the wrong day of the week for the 4th of July picnic. The picnic is on Monday, July 4th, not Sunday. Discussed items needed for the 4th of July

District 29 – May 2011

5/10/11 Opened at 6:30pm. Traditions read by Brian C. 4 officers present, 3 meetings present; Life Preserver, Back to Basics and Friday Night Eagle. Treasurer’s Report: Balance of $244.18. Secretary’s Report: Read and approved. Intergroup Report: Intergroup has a balance

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