Our most recent fiscal year ended 8/31/2009. A summary of our results follows:

Beginning Cash $71,038
Funding Received $66,104
Total Cash $137,142
Expenditures:
Programs:
District-Wide Initiatives $61,524
Classroom Grants $28,707
Professional Development $2,354
Total Programs $92,585
Fundraising
General & Administrative $9,040
Total Expenditures $111,176
Ending Cash $25,966