Bank checking account: As of the 16th of February, 2008, checking
account balance was $399.56. On March 11th, we paid Horry Electric $88.67. Also on March 11th, deposited $200 from petty
cash and Jim's donation for Tom's memorial which makes the balance on March 15th $510.89.
Petty Cash: 16th Feb, 2008 we had $112.02 petty
cash on hand. 16th
Feb meeting donuts came to $11.91. The kiddy produced $82. On Mar 15, $33.11 cash on hand. We also have six 41 cent
postal stamps.
New Business:
Breakfast fly-in was discussed. The following menu items were determined: 2 gallons orange juice, 150 scrambled eggs,
100 sausage paddies, 10 lbs grits, 2 gallons gravy, 100 biscuits, 20 lbs ham, and soft drinks that we have on hand. We'll
need plates, Condiments, napkins, utensils, coffee cups, spoons, and tongs will be needed. We'll need to be at the Chapter
building by 7 a.m. on Sunday morning, May 4th. We'll need a lot of people to be at the Chapter building on Saturday also
to prepare.
Andy Hamerick (sp?), 2nd, 3rd, and 4th of May is having a hot air balloon festival in Chadbourn and was asking about
coming out here to launch. Wayne is working on getting him to join our Chapter.
Cutting grass has been and continues to be an issue for both the airport and around the Chapter building. Gary
is to discuss the situation with the Shaw's.
Old Business:
Spring fly-in at Lumberton is coming up on May 16, 17, and 18th.
See http://www.mafsac.com for more information. Our POC is Danny Freeman, e-mail address: mafsacboss@yahoo.com. (Note:
the 3rd Saturday in May is May 17th.)
Officers Present:
Gary Smith, President
Wayne Robinson, Vice President
Duane Drisko, Treasurer
Dennis Scott, Secretary
Members and Visitors Present:
Jim Stoveken
Larry Vaught
Bill Utt and Son
Bob and Peggy Stahlberger
Jack Tarner
Jerry Nance