Report of the Treasurer 411 



INCOME AND EXPENSE ACCOUNT— EXPENSE, continued 



General Expenses — 



Annual Meeting Expense $467 05 



Auditing 125 00 



Cartage and Expressage 59 04 



Depreciation on Boats 1 27 09 



Depreciation on Office Furniture 383 25 



Electric Light 3 2 86 



Exchange on Checks 20 88 



Envelopes and Supplies 722 60 



Insurance 223 45 



Legal Services 260 00 



Miscellaneous 354 60 



IMultigraphing 68 70 



Publicity and Propaganda 1 1,401 44 



Office and Storeroom Rents 2,97 1 00 



Office Assistants 8,726 53 



Postage 1,217 37 



Supply Department Expense 2,267 94 



Stencils, Addressograph machine 68 96 



Telegraph and Telephone 301 74 



— 29,799 50 



Total Expense $67,091 94 



Balance being Net Profit for year rarried to Surplus (Exhibit A) . . 2,914 81 



$70,006 75 



INCOME 



Members' Dues $22,635 0° 



Contributions 8,426 41 



Interest on Investments 25,160 50 



Supply Department Receipts — 



Bird Books $2,766 61 



Bird-Lore 716 20 



Educational Leaflets 5,555 35 



Field-Glasses 2,986 1 2 



Slides 511 00 



Bulletins 149 23 



Cabinets 416 76 



Charts 683 57 



13,784 84 



Total Income $70,006 75 



