110 TWENTY-SECOND ANNUAL YEAR BOOK— PART II 



Leg-al service 30.00 



Rental land storage hog crates 15.00 



Typewriters, rental 6.50 



Commission soliciting' advertising for catalog.... 82.00 



Rental tents, bedding, chairs, etc 1,135.35 



Total expense of fair other than premiums.. $173,696.63 



Cash premiums paid: 



Horses $ 24,480.00 



Cattle 34.412.75 



Swine 6,994.00 



Sheep 4,587.00 



Goats 248.00 



Poultrv 1.351.75 



Rabbits ■ 145.25 



Agriculture 11,016.00 



Culinary 811.00 



Honey and Bees 531.00 



Dairy 722.00 



Horticulture 2,305.00 



Floriculture 1,733.80 



Textile, China, etc 1,344.50 



Graphic and Plastic Arts 604.00 



Educational 815.00 



Junior Department 6,045.00 



Boys' Team Judging Contest 225.00 



State Spelling Contest 200.00 



Horseshoe Pitching Contest 350.00 



Speed 21,506.59 



Total premiums paid $120,427.64 



Total expense of fair 294,124.27 



Grand total disbursements $395,680.53 



SUMMARY OF RECEIPTS AND DISBURSEMENTS AND RECONCILIA- 

 TION OF ACCOUNT WITH THE TREASURER. 

 RECEIPTS. 



Cash balance December 1, 1920 $ 73,354.64 



Receipts from sources other than fair 48,690.66 



Receipts of fair other than ticket sales $112,986.75 



Receipts from ticket sales 184,708.50 



Total receipts of fair 297,695.25 



Grand total receipts $419,740.55 



DISBURSEMENTS. 



Disbursements other than fair $ 26,609.51 



Maintenance of grounds and buildings 20,037.01 



Additions and permanent improvements 54,909.74 



Expense of fair other than premiums $173,696.63 



Cash premiums paid 120,427.64 



Total cost of fair 294,124.27 



Grand total disbursements $395,680.53 



Balance on hand November 30, 1921 $ 24,060.02 



Warrants outstanding 1,218.98 



Cash balance in treasury. November 30, 1921 $ 25.279.00 



