20 



THE TREASURER'S REPORT 



Financial statement of the Northern Nut Growers Association for 



the fiscal year from September 1st, 1927 



to August 31st, 1928, both 



dates inclusive 



RECEIPTS 



From previous year $156.08 



Balance in nut prize fund 16.46 



$172.54 



From life memberships 50.00 



" student memberships 1.00 



membership plan No. 6 144.00 



No. 9 8.50 



No. 11 137.50 



No. 12 2.75 



No. 13 14.00 



" contributions 285.25 



" sales of literature 11.50 



" interest .74 



$827.78 

 Expenditures $606.05 



Balance at close of the year $221.73 



Said Balance Consists of — 



Deposit in Middletown National Banl\;, Middletown, Ct $201.50 



Deposit in Litchfield Savings Society, Litchfield, Ct 15.94 



Cash on hand 4.29 



$221.73 

 DETAIL OF EXPENSES 



Stamps sent to secretary $ 20.00 



Government envelopes for secretary 2.29 



Stamps sent to Dr. Deming 6.00 



Postal cards for treasurer 1.00 



Postage 16.99 



Insurance .39 



Money order fee .07 



Registry fee .15 



Stenographic worl^, multigraphing, etc. (Violet Bourne) 89.70 



Typing list of members (Florence R. Sloane) 1.50 



Envelopes 14.75 



Express 5.74 



500 annual reports (18th) 140 p.p. including covers at $2 280.00 



Addressing envelopes and mailing 6.00 



Letterheads 15.75 



Printing letterheads on stock furnished 3.50 



Expenses of secretary — trip to Easton, Md., and return 103.70 



Reporting 18th convention (Mrs. S. K. Oswalt) 30.00 



Expenses at 18t.h convention (Mrs. S. K. Oswalt) 8.50 



Exchange on funds sent from Washington, D. C 02 



$606.05 



