Here is a snapshot of our monthly financials as of 11-17-19.
- Dues $80,086.70
- Other income $3,589.02
- Expenses $42,243.15
- Checking $15,457.06
- Reserves $93,642.51
- 1 left to pay to pay HOA dues
ProfitandLoss for 11-17 meeting (1)
Here is a snapshot of our monthly financials as of 11-17-19.
ProfitandLoss for 11-17 meeting (1)