Loading...
The URL can be used to link to this page
Your browser does not support the video tag.
535-03 Page 105
19" STATEMENT Receipts as listed 183,237.08 Expenses as listed 18, 366, 23 Profit 870.85 ASSETS Cash in savings account Cash in current account 1310.47 Factory & barn 0, 80 Equipment 3000.92 Lend 2517,58 146.13 10935, 80 LIABLITIES Member notes 3200.00 Surplus 7735, 80 10935, 80 CAPITAL COST ALLOWANCE Factory & barn $3158, 75 dep. at 5 157.93 Equipment $3146, 97 at 200b 629.39 787.32 Audited Jan, 12 / 65 and eertifled correct C. I. Stoakley Auditor