REPORT OF THE EXECUTIVE COMMITTEE 207 



CASH BALANCES, RECEIPTS, AND DISBURSEMENTS DURING 

 FISCAL YEAR 1956 » 



Cash balance on hand June 30, 1955 $586, 853. 38 



Receipts, other than Freer endowment: 



Income from investments $247, 422. 84 



Gifts and contributions 646, 732. 82 



Books and publications 49, 433. 13 



Miscellaneous 27, 910. 05 



Employees' payroll withholdings and refund 



of advances (net) 8, 562. 04 



Proceeds from real estate 45. 00 



Proceeds from sale of securities (net) 224, 658. 71 



Proceeds from sale of cash securities (net) (98, 798. 14) 



Total receipts other than Freer endowment 1, 105, 966. 45 



Receipts from Freer endowment: 



Income from investments 357, 880. 32 



Total 2,050,700. 15 



Disbursements other than Freer endowment: 



Administration $103, 989. 88 



Publications 32, 349. 47 



Library 1, 210. 42 



Custodian fees and servicing securities 4, 623. 26 



Miscellaneous 2, 941. 63 



Researches and explorations 521, 537. 58 



S. I. Retirement System 2, 323. 32 



Total disbursements other than Freer endowment 668, 975. 56 



Disbursements from Freer endowment: 



Salaries $130,906. 22 



Purchases for collection 164, 325. 00 



Custodian fees and servicing securities 10, 889. 23 



Miscellaneous 41, 248. 55 



Total disbursements from Freer endowment 347, 369. 00 



Total disbursements 1, 016, 344 56 



Cash balance June 30, 1956 1, 034, 355. 59 



Total 2,050,700. 15 



1 This statement does not include Government appropriations under the administrative charge of the 

 Institution. 



