Fund Type:
Drain:
True Balance:
Loan Balances:
Current Balance:
2700 - General Drain Maintenance
901 - J Frank Christman
257.52
0.00
257.52
Mth
Day
Year
Ref Num
To Whom
For What
Principal
Int/Pen
Collected
Assessment
Receipts
Disbursed
Balance
Jan
1
2011
Amount Carried Forward
257.52
257.52
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