Treasurer’s Report 11/18/2015Feb 6, 2016adminTreasurer's Reports As of November 18, 2015 Regular Checking Account: $92,992.01 Undeposited Funds $300.00 Certificate of Deposit $101,252.00 Certificate of Deposit # 2 $51,250.49 Total Current Balance $245,794.50 Accounts Receivable $27,410.57