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Leadership Contact Information
CHAIRPERSONS
NEWSLETTERS
BOARD MEETING MINUTES
TREASURER'S REPORT
Empire First Quarter 2025-2026
2025-2026 Expenses and Receipts
Jul 2025 Aug 2025 Sept 2025 Total
Checking Opening Balance 12,428.16 15,082.24 15,356.32
Expenses
Insurance 108.04 108.04 108.04 324.12
office supplies/printing 35.92 35.92
quilt.com 100.00 100.00
rent 1,800.00 1,800.00
Receipts
contributions 140.00 30.00 1,130.00 1,300.00
members flea mkt 200.00 86.00 286.00
fabric sale 1,103.50 1,103.50
quilt purchase 300.0 300.00
membership 2,102.12 352.12 2,604.24 5,058.48
monthly raffles 283.00 283.00
quilt raffle tickets 462.00 462.00
snail mail 20.00 20.00
misc. prior yr reimb 122.45 122.45
Checking Closing Balance15,082.24 15.356.32 19,103.55
paypal fees (membership) 3.88 3.88 7.76 15.52
Savings Acct 1.47 1.47 1.47
Closing
Balance 17,301.34 17,302.81 17,304.28 17,305.70