Financial Report for the 2018 Calendar Year

Revenue109 members @ $100 $10,900
Program Activity
Gate mowing and power $3,000
Bin Days$1,100
Surround fence repair $900
Garden project $4,200
Communications $1,500
Finance charges $100
Total expenditures $10,800

Financial Report for the 2017 Calendar Year

Revenue102 members @ $100 $10,200
Park Sign Sales$670
Donation$450
Total Revenue$11,320
Program Activity
Bin Project$2,506
Fence Project$2,704
Front Gates $2,014
Hedley Way Sign$561
Park Sign Costs$875
Communications $1,561
Finance charges $91
Total expenditures $10,312

Financial Report for the 2017 Calendar Year

Revenue124 members @ $100 $12,400
Donation$2,625
Total Revenue$15,025
Program Activity
Bin Project$2,700
Fence Project$3,150
Front Gates garden$2,150
Improve front grate lighting$1,675
Replacement of stolen signs$2,050
Newsletter cost$3,200
Meeting & Administration$1,340
Total expenditures $16,265