Month: April 2018

Intergroup Treasurers Report – March 2018

LINCOLN INTERGROUP TREASURER’S REPORT CHECK BOOK BALANCE FORWARDED FROM February 28, 2018 March 2018 – Preliminary $3,653.03 CONTRIBUTIONS: First 164 Group EXPENDITURES: CHECK BOOK BALANCE — AS OF MARCH 28, 2018 OUTSTANDING CHECKS AVAILABLE FUNDS (balance – remaining budgets) ALLOCATED

Intergroup Meeting Minutes – March 2018

March 29th 2018 Intergroup, 6:30 12 in attendance Jim – Traditions Nicole read old minutes Treasures Report: March Balance $3,753.03.  Available Funds are $1,091.56.  Please see attached report for any questions. Corrections: Beginning balance of $209.30 + Intergroup Check of

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