MURA Finances – April 2026

Treasurer’s Report

MURA Statement of Cash Flows

  • Operating Activities Total Operating Disbursements $7,838.72
  • Operating Activities Excess of Operating Receipts Over Disbursements $1,129.73
  • Self-Supporting Activities Spring and Fall Events Net Receipts $1,220.59
  • Self-Supporting Activities Breakfasts Net Receipts $1,496.92
  • Net Increase in Cash Through March 31, 2026 $3,847.24
  • Cash Balance March 31, 2026 $20,200.57
  • Lifetime Members Reserve Investment Account Balance March 31, 2026 $123,443.24