Meetings

#1568: Turner Valley Oilfield Society AGM

Meetings

Thu, 09/25/2008 - 19:00
7:00 PM
Thursday, September 25, 2008
Flare n Derrick
Turner Valley

A G E N D A

Roll Call

Meeting Called to Order

Adoption of Agenda

Approval of Minutes from September 27, 2007 Annual Meeting

#1552: Turner Valley Oilfield Society Agenda March 27, 2008 meeting

Agenda
Turner Valley Oilfield Society
A G E N D A
March 27, 2008

Meeting Called to Order

Approval of Agenda

Approval of Minutes of February 28, 2008

Approval of Treasurer’s Report

Old Business

#1550: January 2008 Treasurers Report

Treasurer's Reports
Treasurers Report Jan 2008 General account 5006762

General Account

Balance forward 12086.31
Deposits
Interest 0.1

Withdrawls 29.68 Gateway Gazzett
37.92 Webby (domain Invoice 3319k1107)

#1549: December 2007 Treasurers Report

Treasurer's Reports
Treasurers Report Dec 2007 General account 5006762

General Account

Balance forward 12587.11
Deposits
Interest 0.9

Withdrawls 500 CRA - Cheque 537 date Aug 15/07

Total 12087.11

#1541: 2007 TVOS Annual General Meeting

Agenda

Thu, 09/27/2007 - 19:00
Turner Valley Oilfield Society
Annual General Meeting
September 27, 2007
7:00 pm
Flare n Derrick
A G E N D A

Roll Call

Questions & Answers

Adoption of Agenda

Adoption of Minutes of October 7, 2006

#1535: TVOS Agenda June 28, 2007

Agenda

Thu, 06/28/2007 - 19:30
Roll Call

Approval of Agenda

Approval of minutes of May 24, 2007

Approval of Treasurer's Report

New Business
Use of Historic Photographs

Old Business
Gas Plant Advisory
Website Update

#1373: Treasurer's Report December 2006

Treasurer's Reports
General Account
Balance Forward $12163.39
Deposits
Interest $0.07
Total $12163.46

Trust Account
Balance Forward $61523.19
Deposits $0.5
Total $61523.69

#1372: Treasurer's Report November 2006

Treasurer's Reports
General Account
Balance Forward $5725.34
Deposits
Interest $0.05
Grant $6438
Withdrawls
Total $12163.39

Trust Account
Balance Forward $61523.19
Deposits $0.52
Total $61523.19

#1371: Treasurer's Report October 2006

Treasurer's Reports
General Account
Balance Forward $5725.29
Deposits
Interest $0.05
Withdrawls
Total $5725.34

Trust Account
Balance Forward $61522.17
Deposits $0.5
Total $61522.67

#1370: Treasurer's Report September 2006

Treasurer's Reports
General Account
Balance Forward $6003.42
Deposits
Interest $0.05
Withdrawls
Webby renewal $278.18
Total $5725.29

Trust Account
Balance Forward $61521.65
Deposits $0.52
Total $61522.17