Lab1-5 - 27,000 30,240 Maintenance Street Repair $2,700...

Info iconThis preview shows page 1. Sign up to view the full content.

View Full Document Right Arrow Icon
Pecan Groves Homeowners Association Projected Budget for 2008 2007 2008 Income Cash on hand  $16,701   $17,703  Funds  2,200   2,332  Member Dues  219,500   232,670  Transfer Fees  1,700   1,802  Interest - savings  1,200   1,272  Total Income  $241,301   $255,779  Expenditures Administration  $120,000   $134,400  Insurance  16,000   17,920   21,200   23,744  Lawyer
Background image of page 1
This is the end of the preview. Sign up to access the rest of the document.

Unformatted text preview: 27,000 30,240 Maintenance Street Repair $2,700 $3,105 Street Cleaning 1,582 1,819 Snow Remove 550 633 Street Signs 4,985 5,733 Total Maintenance 9,817 11,290 Miscellaneous 3,000 3,360 Total Expenditures $197,017 $220,954 Ending Cash Balance $44,284 $34,826 Daniel Bessel 9/4/2008 Sec 08...
View Full Document

Ask a homework question - tutors are online