2025 Treasurer Report

Phillips Lake Community Association

Treasurer’s Report

July 2024 – June 2025


Opening Balances

Account 1 $1,813.14
Account 2 $1,154.69
Total Opening Balance $2,967.83

Money Received

Source Amount
Member Dues & Swag $860.00
Dividends / Interest Earned $1.44
Total Received $861.44

Expenses

Expense Amount
Annual Meeting Treats $21.43
Donation – Fire Department $300.00
Total Expenses $321.43

Closing Balances

Account 1 $2,117.39
Account 2 $1,390.45
Total Closing Balance $3,507.84

Fiscal Year Summary

Opening Balance $2,967.83
+ Total Received $861.44
− Total Expenses $321.43
Closing Balance $3,507.84

Net change: +$540.01