WWMCA 3rd Quarter Statement of Accounts
(February 2025 – April 2025)
Please see summary of the above statement.
We started the quarter on February 1, 2025 with a total of $525,939.36
Below are the Income and Expenditure for the period under review.
Main Source of Income.
(a) Maintenance Dues – $302,200.00
(b) Cake Sale profit – $162,202.03
Main Expenditures
(a) Beautification – $130,000.00
(b) Zoom subscription – $15,239.31
(c) Purchase 10 X 15 Tent – $ 31,000.00
(d) Print Tag Drive Tickets – $9,000.00
(e) Town Cryer & Website Maintenance – $7,000.00
(f) Miscellaneous – $6,940.00
We ended the quarter with a total of $791,258.23
The WWMCA would like to thank residents who supported the just concluded Cake Sale.
Your participation ensured that we made a profit.
Let us all continue to support our community.
The Treasurer.