Club Financials – October 2013


Checking $898.15
Money Market $167.14
CD $2,831.58
Total Cash on Hand $3,896.87
   
Less  
Encumbered Funds $150.00
CD $2,831.58
Net Cash Available $915.29
   
2013/2014 Membership @ 10/1/13
81 / 2
Regular 66 / 1
Associate 5
Lifetime 4
Junior 6 / 1

*Note: This page is only viewable by KRAM members and therefore should not be discussed publicly on the forum or elsewhere.