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