march treasurer’s report

we started the month with 1091.57.  we purchased bottle shippers for 111, and ice for the last meeting was 4.36.  we bought new chalkboards for events for 88.70.  we had other expenses 165.36.  we brought in 277.99 in membership dues and 25 in merch from the last meeting.  this brings the current club balance to 1136.14