1/1/2005- Category Description 7/31/2005 INFLOWS Dues Receipts 22,401.10 TOTAL INFLOWS 22,401.10 OUTFLOWS Grounds Maintenance 13,464.50 Liability Insurance 711.00 Lien Fees 42.00 Maint & Repairs 330.32 Misc 20.00 PO Box Fee 26.00 Pond and Fountain Maint 1,430.00 Postage 74.00 Sprinkler Maint 729.45 Utilities Gas & Electric 862.18 Water 4,538.03 TOTAL Utilities 5,400.21 Web Site Expenses 60.00 TOTAL OUTFLOWS 22,287.48 OVERALL TOTAL 113.62