PROCEEDINGS FOR 1922 XV 



I 



VIII — Report of the Honorary Treasurer 



The following report, which includes the Government Grant 

 Account and the General Account, covers the year ending April 

 30th, 1922. It has been audited by Dr. J. C. Glashan and Dr. Adam 

 Shortt, who were appointed for that purpose. 



FINANCIAL STATEMENT OF THE ROYAL SOCIETY OF CANADA FOR 

 THE YEAR ENDING APRIL 30, 1922 



GOVERNMENT GRANT ACCOUNT 



Receipts 



By Balance in The Bank of Montreal, April 30, 1921 $1,796. 48 



" Grant from The Dominion Government 8,000.00 



" Grant from the Hon. Advisory Council for Scientific and Industrial 



Research 3,000. 00 



" Bank interest on account 191 . 40 



$12,987.88 

 Expenditure 



To Printing and publication of Transactions $7,122. 01 



" Transfer to Current Account 4,000.00 



" Clerical Assistance 748. 00 



" Insurance 43.80 



" Miscellaneous expenditure (mailing, shipping, etc.) 248.89 



" Balance in The Bank of Montreal, May 1, 1922 825.18 



$12,987.88 

 GENERAL ACCOUNT 



Receipts 



By Balance in The Merchants' Bank of Canada, April 30, 1921 $2,308.81 



" Annual Subscriptions and Initiation fees 1,661 . 67 



" Transfer from the Government Account 4,000.00 



" Sale of Transactions 37 . 65 



" Interest on investments 597.20 



" Bank interest on account 39 . 84 



" Refund of Assist. Secret. 's cheque for Oct. salary 50. 00 



$8,695.17 



Expenditure 



To Railway fares of Fellows $1,477. 78 



" Investment in Dominion Government bonds (inclus, of interest and 



cost) 5,136.00 



" E.\penses of Annual Meeting 148. 60 



" Miscellaneous expenditure 62. 76 



" Oct. salary cheque for Asst. Secretary 50. 00 



" Balance in the Merchants' Bank of Canada, April 29, 1922 1,820.03 



$8,695.17 

 Audited and found correct: 

 J. C. GLASHAN \. ,., 

 ADAM SHORTT /^«^"'"'^• 



C. M. BARBEAU, 

 Ottawa, May 2, 1922. Honorary Treasurer. 



