Cash Flow 1/1/2006 through 7/31/2006 1/1/2006- Category Description 7/31/2006 INFLOWS Dues Receipts 24,192.60 Late Fees Collected 25.00 TOTAL INFLOWS 24,217.60 OUTFLOWS Bank Charge 20.00 Grounds Maintenance 2,973.90 Lawn Fertilization 545.00 Lien Fees 98.00 Maint & Repairs 10.57 Office Supplies 48.43 PO Box Fee 28.00 Pond and Fountain Maint 1,001.00 Postage 39.00 Sprinkler Maint 599.80 Utilities Gas & Electric 1,298.28 Water 1,626.12 TOTAL Utilities 2,924.40 Web Site Expenses 60.00 TOTAL OUTFLOWS 8,348.10 OVERALL TOTAL 15,869.50