FINANCIAL OUTLOOK:
CURRENT:
November 2018
Beginning Balance: 2199.52
Deposits: 100.00
Expenses Paid: 778.36 (9 checks)
Ending Balance: 1521.16
December 2018
Beginning Balance: 1521.16
Deposits: 2550.00
Expenses Paid: 1110.41 (12 checks)
Ending Balance: 2960.75
These are the updated financial statements
Summerlin Lake Homeowners Association, Inc.
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