Financial Report 4/27/87 through 9/30/22
Contributions $966,363.04
Net Gains $474,252.84
Total Income $1,440,615.88
Operating Expenses $55,521.97
College Scholarships Paid $407,593.05
Scholarship Certificates Paid $105,628.63
Enrichment Grants Paid $10,816.00
Music/Track/Yearbook Projects $7,045.63
Total Disbursements $586,605.28
Balance $854,010.60