2011-2012 Treasurer's Reports
- Dec 2011 Audit Report
- April 2012
- March 2012
- February 2012
- January 2012
- December 2011
- November 2011
- September 2011
Financial Reports 2009 - 2010
- As of 10/31/09 the balances were:
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-
- checking 4,354.38
- district reserve 33,377.99
- totaling 37,732.37
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-
- The $10,000 was transferred on 11/13/09.
- September Report
- October Report
- January 2010 Report
- February 2010 Report
- March 2010 Report
As of January 9th 2010
District reserve balance $23524.59. District B of A Account $9,2584.13.
Resources for Treasurers
- As treasurer, you are responsible for keeping clear and accurate financial records of club business and for seeing that the club remains financially stable.
- This office has many responsibilities, yet it also has many rewards. During your term you will have the opportunity to develop and practice leadership skills that you can use in all areas of your life. You will learn to set goals, plan, develop strategies and recognize people for their efforts.
- To download these documents to your computer, right click on the link and select
Templates for Treasurers
Provided by Myra Golson
- Budget – Excel, OpenDocument, and Adobe Acrobat (view only)
- Check Register – Excel, OpenDocument, and Adobe Acrobat (view only)
- E-mail Notices
- First Notice – Word, OpenDocument, Adobe Acrobat (View Only)
- Second Notice – Word, OpenDocument, Adobe Acrobat (View Only)
- Third Notice – Word, OpenDocument, Adobe Acrobat (View Only)
- Income Record – Excel, OpenDocument, Adobe Acrobat (View Only)
- Receipt Master – Excel, OpenDocument, Adobe Acrobat (View Only)
- Reimbursement Request – Excel, OpenDocument, Adobe Acrobat (View Only)
From Toastmasters International




