146 TWENTY-THIRD ANNUAL YEAR BOOK— PART III. 



Poultry 1,238.50 



Rabbits 65.25 



Agriculture 8,695.00 



Culinary 815.00 



Honey and Bees 510.00 



Dairy 722.00 



Horticulture 2,621.50 



Floriculture 235.00 



Textile, China, etc 1,336.50 



Graphic and Plastic Arts 589.00 



Radio 60.00 



Educational 741.50 



Boys and Girls' Club Department 6,155.00 



Boys and Girls' Judging- Contest 625.00 



Boys and Girls' Team Judging Contest 180.00 



State Spelling Contest 160.00 



Horseshoe Pitching Contest 1,380.00 



Speed 17,771.40 



Total premiums paid $104,521.^3 



Total expense of fair 266,275.11 



Grand total disbursements $314,670.16 



SUMMARY OF RECEIPTS AND DISBURSEMENTS AND RECONCILIATION 



OF ACCOUNT WITH THE TREASURER. 



RECEIPTS. 



Cash balance December 1, 1921 $ 24,060.02 



Receipts from sources other than fair 11,915.82 



Receipts of fair other than ticket sales $112,718.49 



Receipts from ticket sales 200,541.00 



Total receipts of fair 313,259.49 



Grand total receipts $349,235.33 



DISBURSEMENTS. 



Disbursements other thain fair $ 12,900.64 



Maintenance of grounds and buildings 16,992.66 



Additions and permanent improvements 18,501.75 



Expense of fair other than premiums $161,753.46 



Cash premiums paid 104.521.65 



Total cost of fair 266,275.11 



Grand total disbursements $314,670.16 



Balance on hand November 30, 1922 $ 34,565.17 



Warrants outstanding 959.50 



Cash balance in treasury November 30, 1922 $ 35,524.67 



