FEBRUARY 2017 MONTHLY FINANCIAL UPDATE

February 2017 Monthly Update

Here are the YTD numbers as of 2-28

Total dues as of 2-28 = $63740
Other Revenue = $228.26
Total Expenses as of 2-28 = $5074.60
Cash on hand as of 2-28 = $56,233.98
Reserves = $16,592.58
Number of households left to pay = 26

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