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 |











