November 2025 Meeting AgendaChristopher WardNov 1, 20250 min readV. 3 November 2025 Agenda.pdfDownload PDF • 3.30MB
2025 Year End Financial IllustrationOperating Cash Flow 2025 Opening Balance $19,590.79 Assessments received $131,674.92 Transfer from Reserve $60,095.00 2025 credits $211,360.71 Payables Management Fees $11,420.00 Tax, accounting & aud
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