Assets
Cash Balance on 12/31/98 7,339.67
Dues Outstanding 838.09
Total Assets on 12/31/98 8,177.76
Total Liabilities
Cash Flow
Inflows
Dues Paid in 1998 10,239.42
Outflows
Landscaping 2,339.35
Water/Utilities 1,012.47
Administrative Expenses 106.00
Total Outflows 3,457.82
Total Cash Flow for 1998 6,781.60