Treasurer:
The Treasurer shall have the custody of the funds of the GVAS, shall receive all moneys for deposit as designated by the Board of Directors, shall assist in the preparation of the annual budget and present it to the Board of Directors for approval, and shall make payments in accordance with the budget. Expenses incurred and not provided for in the budget shall be paid only on written or electronic approval of a Board member. Payments of recurring expenses (i.e. utilities, computer software license renewal) do not require monthly Board approval for payment. The treasurer shall keep accurate accounts and shall present written, printed, or digital financial statements at the meetings of the Board of Directors and at the Annual Membership Meeting (an electronic Profit & Loss Statement and Balance Sheet emailed to all members shall suffice for this requirement). All checks shall be issued and signed by the Treasurer. In the event that the Treasurer shall not be able to issue and sign checks, the President or another Board member with signature authority shall be authorized to do so.
Contact: Board Members at [email protected]
Contact: Board Members at [email protected]
The Preserve - Maintanence
Description to come....