PROFIT & EXPENSES
Dance Profit & Expenses For June 23, 2008
 Report By Treasurer Frank Ivanovich
INCOME
TICKET SALES
187 X20=$3740
RAFFEL
$1480.00
DRINKS-WATER-SODA
$135.00
TOTAL
$5,355.00
EXPENSES
FOOD
$1,900.00
BAND
$1.040.00
HALL RENT
$800.00
DESSERT
$175.00
TABLE FLOWERS
$75.00
WATER - SODAS
$52.00
CASH PRIZES
$390.00
MISC
$131.00
TOTAL
$4,563.00

PROFIT GAIN

$1,400.00

BE SURE TO ATTEND OUR ANNUAL DANCES EACH YEAR