February, '17] business PROCEEDINGS 5 



Association Statement 



Balance in Treasury, December 23, 1915 S621 .31 



By amount received for dues, 1916 457.00 



By amount received from interest on deposits 5 . 86 



To stenographic report 1915 meeting $58.00 



Buttons 1915 meeting 14 . 66 



Stamps and stamped envelopes 29 . 42 



Printing programs, blanks, etc 78 .25 



Telegraph and express 2 . 73 



Miscellaneous supplies 8 . 13 



Pacific Slope Branch expenses 15 . 23 



Official seal 12.00 



Clerical work. Secretary's office 38 .00 



One-half salary of Secretary 50 . 00 



$306.42 



Balance, December 20, 1916 777.75 



$1,084.17 $1,084.17 

 Balance deposited as follows: 



Melrose Savings Bank $151 . 32 



Maiden National Bank 626.43 



Journal Statement 



Balance in Treasury, December 23, 1915 $755.02 



By amount received for subscriptions, advertising, etc., 1916 2,281.07 



To stamps and stamped envelopes $24 . 74 



Printing 1,784.58 



Halftones, etc 273 .94 



Miscellaneous suppUes 20 . 86 



Refunds on subscriptions 2 . 60 



Returned checks 7 . 50 



Clerical work. Editor's office 70 . 00 



Clerical work. Secretary's office 55 .00 



Salary, Editor 100.00 



One-half salary of Secretary 50 . 00 



$2,389.22 



Balance, December 21, 1916 646.87 



$3,036.09 $3,036.09 

 Deposited in Maiden National Bank $646.87 



Respectfully submitted, 



A. F. Burgess, Secretary. 



On motion the report was accepted, and the financial part referred 

 to the auditing committee. 



Vice-President George A. Dean: We will now hear the report 

 of the executive committee. 



