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Mary Munford PTA 2011-2012 Audit. PTA Audit Report Cash Accounts 2011-2012. Balance 6/30/11 $ 109,978 Plus Deposits $ 138,924 Less Withdrawals $ (152,393) Balance 6/30/12 $ 96,509. PTA Audit Report Cash Balance 6/30/12. 2012 Fiscal Budget 2012-2013 School Year.
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PTA Audit ReportCash Accounts 2011-2012 Balance 6/30/11 $ 109,978 Plus Deposits $ 138,924 Less Withdrawals $ (152,393) Balance 6/30/12 $ 96,509
Proposed 2012 – 2013 BudgetCore Value 1: Buildings, Grounds & Capital Improvements