where does the money go?

In House Active Dues  
Chapter Operations
$100
Rechartering Fee
$17
Travel Fund
$10
Social
$25
Retirement Fund
$10
Building Fund
$35
Insurance
$48
Cable
$30
Dues Total
$275
 
Internet/laundry
$25
Rent
$710
Meal Plan
$575
In-House Expenses Total
$1,310
 
In-House Total
$1,585
Out of House Active Dues  
Chapter Operations
$100
Rechartering Fee
$17
Travel Fund
$10
Social
$25
Retirement Fund
$10
Building Fund
$35
Insurance
$48
House Operations
$30
Out of House Total
$275
New Member Dues  
Pledging Dues

$75

Social
$9.70
Building Fund
$2.50
Meals
$37.80
Subtotal
$125
 
National Activation Fee
$175
New Member Total
$300

 

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