Organizational Reports
Treasury report for February 2021: Beginning balance: $16,804.05. Total Revenue: $408.08 ($22.87 Amazon Smile, $385.21 memberships/donations). Total expenditures: $150.00 (Performance Creative Resources Sign Repair). Ending balance: $17,152.13
Membership report for February 2021: We had one new member, 5 member renewals, no new organizations and 3 organization renewals. We have a total of 146 members and 21 organizations. $555 was collected in membership dues.
Newsletters:
February 2021
January 2021
December 2020
November 2020
Presentations:
History of Rouge Park: The Early Years
History of Rouge Park: Growth & Development 1926-1940
The Rouge Park Master Plan: Introduction & Overview
Treasury report for February 2021: Beginning balance: $16,804.05. Total Revenue: $408.08 ($22.87 Amazon Smile, $385.21 memberships/donations). Total expenditures: $150.00 (Performance Creative Resources Sign Repair). Ending balance: $17,152.13
Membership report for February 2021: We had one new member, 5 member renewals, no new organizations and 3 organization renewals. We have a total of 146 members and 21 organizations. $555 was collected in membership dues.
Newsletters:
February 2021
January 2021
December 2020
November 2020
Presentations:
History of Rouge Park: The Early Years
History of Rouge Park: Growth & Development 1926-1940
The Rouge Park Master Plan: Introduction & Overview