Laserfiche WebLink
Other Expenses <br />Total Other Expenses <br />Net Income (Loss) <br />Love Civic Center <br />Budget to Actual, Year -to -Date <br />Modified Cash Basis <br />For the Month Ended October 31, 2024 <br />0.00 0.00 0.00 0.00% 0.00 <br />$ 43,211_30�i $43,501 69 $ 290,39 99.33% $ 3,500.00 <br />Financial statement preparation service provided by Malnory, McNeal & Company PC, CPAs in accordance with professional standards issued <br />by the AICPA, substantially all disclosures ordinarily included in financial statements prepared in accordance with the modified cash basis of <br />accounting are omitted and no assurance is provided <br />