Central Office Treasurer is Pierre L. – email
The Central Office Treasurer will:
• Prepare the monthly financial statement and reconciliations of the Central Office and present them to District 11. If the Central Office Treasurer is not available, the report shall be made by the District 11 Treasurer.
• Present year end (October 31) statements at the December District 11 Meeting.
• Pay bills, mail cheques, enter and record all transactions in computer system in conjunction with the Central Office Manager.
• Provide a written report as well as financial statements to the District Secretary/Registrar four (4) days prior to the District meeting.
• Set up and use the District 11 assigned email.