34 TWENTY-THIRD ANNUAL YEAR BOOK— PART II. 



We will now have the Treasurer's report: 

 TREASURERS' REPORT. 



Des Moines, Iowa, December 11, 1922. 

 To the Officers and Members of the Iowa Fair Managers' Association: 

 Gentlemen: 



Receipts of 1922. 



Received from Ex. Treasurer Gatch $ 143.39 



Received from Secretary Wilkinson 2,471.03 



Total receipts $2,614.42 



Expenditures: 



Paid Orders 82 to 122, Inc $1,674.38 



Balance on hand 940.04 



$2,614.42 

 Respectfully submitted, 



(Signed) Roy E. Rowland, 

 Treasurer Iowa Fair Managers' Association. 



President Estel : I believe before we act upon the report of the 

 Treasurer it might be well to have the report of the Secretary and of 

 the Auditing Committee. We will have the Secretary's report of 

 receipts and disbursements for the year. 



Report of the Secretary of the Iowa Fair Managers' Association for the 

 year ending December 1, 1922. 



RECEIPTS 



Cash Received from F. A. Gatch, Treasurer $ 871.98 



Cash Received from M. E. Bacon, Secretary 976.30 



1921 Dues Collected 14.72 



1922 Dues Collected 923.71 



$276.71 

 DISBURSEMENTS 



Paid to Roy E. Rowland, Treasurer $2,614.42 



Check Returned — "not honored" 20.00 



Cash on Hand in Alta State Bank, Alta, Iowa 152.29 



$2,786.71 

 REPORT OF ORDERS DRAWN ON TREASURER 



Expense Legislative Committee — 1921 $ 499.01 



Expense Entertainment Committee — 1921 84.01 



Traveling Expense Officers— 1921 115.69 



Postage— 1921 7.00 



Total $ 743.71 



