﻿686 
  Seventh 
  Annual 
  Report 
  ok 
  thi!: 
  

  

  For 
  premiums 
  on 
  miscellane- 
  

   ous 
  $251 
  75 
  

  

  Total 
  premiums 
  $1,341 
  00 
  

  

  Total 
  disbursements 
  $5,118 
  59 
  

  

  Balance 
  (credit) 
  $1,000 
  01 
  

  

  Delbert 
  Dinehart 
  President. 
  

  

  Fred 
  S. 
  Hallenbeck 
  Treasurer. 
  

  

  CATSKILL 
  MOUNTAIN. 
  

  

  RECEIPTS. 
  

  

  Balance 
  on 
  hand 
  at 
  close 
  of 
  fiscal 
  year 
  1898 
  $1 
  52 
  79 
  

  

  Prom 
  gate 
  receipts 
  $1,271 
  85 
  

  

  From 
  rent 
  of 
  grounds 
  60 
  00 
  

  

  From 
  rent 
  of 
  privileges 
  398 
  50 
  

  

  FVom 
  entries 
  for 
  premiums 
  297 
  50 
  

  

  From 
  entries 
  for 
  races 
  (horse) 
  107 
  50 
  

  

  From 
  notes 
  given 
  49 
  50 
  

  

  From 
  State 
  1,059 
  81 
  

  

  Receipts 
  for 
  1899 
  3,244 
  66 
  

  

  Total 
  receipts 
  $3,387 
  45 
  

  

  DISBURSEMENTS. 
  

  

  For 
  payment 
  on 
  land 
  contract 
  $124 
  80 
  

  

  