2023 - 07 - Beacon
NCYC Regular Meeting Minutes May 11, 2023 Page 4 of 8
Treasurer, Christa Betts
Financial Report (cont’d)
Cash Summary April 2023
Cash
December
December
December
April 2023
2020
2021
2022
Fifth Third Bank
$145,900.00 $145,900.00
$245,900.00 $245,900.00
$277,378.83 $277,378.83
$333,890.58 $333,890.58
Total Operating Funds
Cash Reserve Fund
$98,300.00 $244,200.00
$98,300.00 $344,200.00
$126,781.60 $404,160.43
$152,037.85 $485,928.43
Total Cash
NOTE: April 2023 Expenses in the amount of $20,444.24 Income in the amount of $25.00 Net loss in the amount of $20,419.24 Cash on Hand $485,928.431
Motion: P/C Hall to approve the financial report. Second: V/C Romatz. Motion Carried
P/C Dale Hall
ABYA Report
P/C Hall presented a summary of topics from the recent ABYA meeting.
I. CURRENT BUSINESS
Philip Maniaci
Activities
No report.
Bill Frederiksen
Clubhouse
What a difference a month makes. Much has been done to get the Clubhouse ready for the season. We have done some repairs and updates in a couple of areas in the Clubhouse (some highlights): • Various plumbing repairs (valve in kitchen sink, valve in women’ s bathroom sink, drain in men’s bathroom sink) • Heater Element replacement in the Hot Water tank. • Replaced the motor for the air circulation vent in the kitchen. • Tile replacement and repair at the back door kitchen entrance.
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