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[[underlined]] US$ Cash Statement [/underlined]] [[4 column table]] | Receipts | Disbursements | Balance Balance on Hand 28 June 1957 | | $310.61 Membership Dues (15@US$5) | 75.00 | | Halloween Dance | 639.47 | 411.76 | Carnival | 132.15 | 600.00 | Social Service | 6.00 | 7.62 | Calendar | 5.00 | | Operating Expenses | | 4.33 | Community Representation | | 16.88 | Year Book | | 4.56 | | [[tally line]] | $857.62 | $1,045.15 | $310.61 | | | 857.62 [[tally line]] Total income | | | 1,168.23 Total Disbursements | | 1,045.15 [[tally line]] Balance 9 June 1958 | | $123.08 /s/ Mrs. Philip P. Jones Treasurer /s/ John Vicedomini Auditor -21-