ACBL D-20 Organization, Inc.
Reserves
September 30, 2010 and 2009
2010 2009
ASSETS
Cash
Checking-US Bank           18,520                  1,752
Money Market-US Bank           73,461                83,000
Money Market-Columbia Management             1,498                  1,363
Time Certificate-US Bank           31,788                30,464
Total Cash         125,267              116,579
Other Assets
Prepaid expenses                 385                  1,465
Loan receivable-John Gram             9,416
Loan receivable-Reno 2010 NABC                    -                    5,000
Total Other Assets             9,801                  6,465
TOTAL ASSETS         135,068              123,044
LIABILITIES
                   -                           -  
Total Reserves         135,068              123,044