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Activity for Fund 7021 - T.P.F.A. G.O. Commercial Paper Series 2002A Rebate Fund
Fiscal Year 2011 activity September 1, 2010 - August 31, 2011
Prior fiscal years September 1 - August 31
Fiscal Year | Revenue | Expenditures | Net Activity | |
---|---|---|---|---|
2011 | 126,784.11 | 133,548.65 | (6,764.54) | |
2010 | 913,739.85 | 1,097,660.15 | (183,920.30) | |
2009 | 285,533.61 | 149,734.06 | 135,799.55 | |
2008 | 133,916.05 | 90,482.91 | 43,433.14 | |
2007 | 743,940.45 | 765,916.50 | (21,976.05) | |
2006 | 38,263.47 | 19,001.57 | 19,261.90 | |
2005 | 15,728.52 | 0.00 | 15,728.52 |