by Michael Mitrano, Treasurer
We are not far into our fiscal year that began on July 1. At this point we have received many membership renewals and applications for new members, and have not had many expenses.
Membership now stands at 54 and total receipts so far are about $2,300. Membership renewals are coming in more promptly than last year, when we had only 44 member payments at this point. Expenses are only about $400, leaving us with a surplus since July 1 of about $1,900. Our cumulative surplus is about $22,500.