TENTH ANNUAL REPORT. 49 



tScneral JFunU. 



(.Changed to "Income Account.") 



For Period. Ending May 3, 1905. 

 Cash in Treasury, January i, 1905 $3,166 12 



RECEIPTS. 



Annual dues $5,240 00 



Life membership fees ;;:;;;; 800 00 



Miscellaneous receipts . ; : 20 43 6,060 43 



$9,226 55 



EXPENDITURES. 



Stationery and office supplies $381 45 



Annual report 180 67 



General office expenses 730 32 



Library 280 78 



Treasurer's office expenses 240 22 



Secretary's salary ^,333 32 



Bulletin 238 98 



Publications for members 57 53 



Miscellaneous expenses 488 77 



Mailing circulars 557 00 



Photographs and slides 428 59 



Aquarium 1000 



Museum supplies 25 57 



Employers' insurance 325 00 



Aquarium publications 131 85 



Interest 311 72 $5,721 77 



Cash balance closed into Income Account, May 3, 1905 3.504 78 



$9,226 55 



H. R. Mitchell, Percy R. Pyne, 



Chief Clerk Treasurer. 

 January i, 1906. 



