Financial Report Ending on 6/30/2016:

Fund Balance Beginning 5/1/14 ………………………… $8,526,444

Receipts:

Gifts………………………………….. $319,684.04

Net Investment Income…………… ($209,535.91)

Total..…………………………………………………….……….. $110,148.13

Disbursements:

Grants and Scholarships………………………. ($277,740.15)

Administration…………………………………….. ($89,105.73)

Total………………………………………………………….……. ($366,845.88) 

Receipts net of Disbursements…. ($256,697.75)

Fund Balance Ending 6/30/2016…………………………… $8,269,745.40

Assets on Hand 6/30/2016:

Cash………………………………………….. $34,547.40

Total Investments (FMV)………… $8,235,198.00

Total Assets as of 6/30/2016…………………..……………. $8,269,745.40

ACAF Annual Reports

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