The Finance Committee develops the annual budget which is ultimately reviewed and approved by the entire GEHA Board of Directors. The Committee’s objective is to develop and have the annual budget approved in January of each year.
In addition, the Treasurer, working in conjunction with the Office Staff, is responsible for the following:
  • Oversee and supervise the receipts and deposits of all GEHA funds in appropriate bank accounts
  • Disperse such funds as directed by the Board of Directors
  • Keep proper books of account
  • Cause an annual audit to be performed by a CPA
  • Cause an annual tax return to be prepared and filed by a CPA
  • Prepare annual and monthly financial statements (available to members upon request at the GEHA Office and at the Annual Meeting)


  • Ken Gerzina (Treasurer)


  • Mark Godfrey (Chair – Roads and Drainage Committee & ACC)
  • Charlene “Charlie” Hogan (Chair – Social Committee)
  • Anita Favors (Chair – Grounds, Lakes, and Beautification)

Contact Us Through :