2022 est EXPENSES
Facility Deposit/Rental $ 803.48
Facility Decorations $ 100.00
Entertainment $ 100.00
DJ $ 250.00
Food Catering $ 2,000.00
Peace Officers(2) $ 420.00
Website $ 199.00
2022 Finance
Balance Last Year Pending
Actual Income $ 1,488.17
Instant App Xfer Fees $ 11.83
Paid Expenses $ 1,002.48
Current Cash Flow $ 1,195.78
2023 EST EXPENSES
Facility Deposit/Rental $ 1,000.00
Facility Decorations $ 100.00
Entertainment $ 100.00
DJ $ 250.00
Food Catering $ 2,000.00
Peace Officer(2) $ 1,000.00
Website $ 199.00
2023 finance
New Balance Pending
FY 2021-24 MEETINGS & AGENDAS
CFR MEETING AGENDAS
August 8, 2021 (PDF)
August 22, 2021 (PDF)
September 12, 2021 (PDF)
November 21, 2021 (PDF)
December 12, 2021 (PDF)
April 24, 2022 (PDF)
May 15, 2022 (PDF)
May 22, 2022 (PDF)
May 29, 2022 (PDF)
June 05, 2022 (PDF)
June 12, 2022 (PDF)
June 26, 2022 (PDF)
July 10, 2022 (PDF)
July 17, 2022 (PDF)
July 24, 2022 (PDF)
July 31, 2022 (PDF)
August 04, 2022 (PDF)
September 18, 2022 (PDF)
October 23, 2022 (PDF)
November 20, 2022 (PDF)
January 22, 2023 (PDF)
February 19, 2023 (PDF)
March 05, 2023 (PDF)
March 12, 2023 (PDF)
April 09, 2023 (PDF)
June 06, 2023 (PDF)
June 13, 2023 (PDF)
June 20, 2023 (PDF)
June 26, 2023 (PDF)
June 30, 2023 (PDF)
July 11, 2023 (PDF)
July 18, 2023 (PDF)
August 15, 2023 (PDF)
March 19, 2024 (PDF)
April 2, 2024 (PDF)
April 9, 2024 (PDF)
April 30, 2024 (PDF)
May 14, 2024 (PDF)
May 29, 2024 (PDF)
FY 2021-24 PROPOSED BUDGET
CFR COMMITTEE BUDGET
Registration Committee $ 550.00
Hospitality & Welcome Committee $ 100.00
Kitchen & Food Committee $ 2,000.00
Entertainment Committee $ 300.00
Historian & Honorary Committee $ 400.00
Fundraiser Committee $ 0.00
Communications & Media Committee $ 199.00
Security Committee $ 1,000.00