THE HORTICULTURAL SOCIETY OF NEW YORK 



TREASURER'S STATEMENT 



For the year ending May id, 1911 



Receipts 



Balance forward $ 241.96 



Annual dues 1,345.00 



Sale of Memoirs 8.20 



Special Fund for November Show 1,133.00 



Belonging to Permanent Fund : 



I Patron 250.00 



I Sustaining 25.00 



38 Life 1,900.002,175.00 



$4,903.16 



Expenditures 



Printing, etc $ 726.28 



American Museum Account 130.35 



Secretary's salary 200.00 



Petty cash and postage 290.00 



Prizes at shows 1,150.50 



Manager and judges 55-50 



Medals 7000 



Photographs of shows 25.50 



2,648.13 



Transferred to Permanent Fund 2,175.00 



Balance 80.03 



$4,903.16 



Permanent Fund 



May 9, 1910. In Savings Bank $2,245.30 



Jan. I, 191 1. Interest 98.66 



Transferred from Astor Bank 2,175.00 



$4,518.96 



Purchased 35 Shares U. S. Steel Corp. Pfd. Stock 4,143.13 



Balance in fund 375-83 



$4,518.96 



Frederic R. Newbold, 

 Treasurer. 

 Examined and audited. 

 E. B. Southwick, 

 Albert L. Willis, 

 Auditing Committee. 

 May 10, 191 1. 



