Financial Report

Financial Report Ending on 7/01/2016:

Fund Balance Beginning 5/1/14 …………. $8,269,745.40

Receipts:

Gifts………………………………….. $335,560.46

Net Investment Income…………… $832,900.52

Total..…………………………………….……….. $1,168,460.98

Disbursements:

Scholarships…………………………………………… ($231,850.00)

Non-endowed Scholarships…………………………. ($2,000.00)

Grants……………………………………………………… ($29,447.67)

Administration…………………………………………. ($76,109.55)

Total……………………………………………….. ($339,407.22) 

Fund Balance Ending 6/30/2017….……… $9,98,799.16

Assets on Hand 6/30/2016:

Cash (Operating Account)……………………………. $16,998.31

Cash (Endowment Account)…………………………$271,704.46

Total Investments (FMV)………………………… $8,810,096.39

Total Assets as of 6/30/2016………………. $9,098,799.16

ACAF Annual Reports

2016-2017 Annual Report
2015-2016 Annual Report
2014-2015 Annual Report
2013-2014 Annual Report
2012-2013 Annual Report
2011-2012 Annual Report
2010-2011 Annual Report
2009-2010 Annual Report
2008-2009 Annual Report
2005-2008 Annual Reports