FRIENDS OF MARTY GOLDEN

2012 July Periodic Report Summary Page


 Opening Balance   $390,773.39    
 Contributions   $264,034.71    
 Miscellaneous Receipts   $6,403.64    
 
 Total Receipts   $270,438.35
 Total Expenses   $205,596.94

 Closing Balance   $455,614.80
 
Report Date 08/19/19 12:08:37