EIGHTEENTH ANNUAL REPORT 61 



Natiuual (Uallrrtinu uf ^mhs auft Bfnrna 



Schedule (J. 



1XC05IE FOR YEAR. 



Income Account (transfer) $1,000.00 



Special SubscriptiGns : 



Townsend Lawrence $10.00 



Thomas Rowland 10.00 



Henry A. Caeser 5.00 



J. T. Pirie, Jr 5.00 



AV. Fraser Gibson 5.00 



William R. Coe 10.00 



John J. Paul 15.00 



AV. H. Chase 5.00 65.00 



$1,065.00 



EXPENDITURES FOR YEAR. 



Overdraft as at December 31, 191-2 $241.00 



Heads and horns 345.00 .486.00 



Unexpended balance as at December 31, 1913 579.00 



$1,065.00 



H. R. Mitchell. 



Chief Clerk. Percy R. Pyne, 



January 1, 1914. Treasurer. 



Slibrarii iFmtb 



Schedule 7. 

 Unexpended balance as at December 31, 1912: 



Cash in Bank $320.69 



IXCOME FOR YEAR. 



Income Account ( transfer) 800.00 



$1,120.69 



EXPENDITURES FOR Y'EAR. 



Books, pamphlets, etc $510.83 



Subscription to periodicals 104.44 



Express and other charges 17.70 $632.97 



L^nexpended balance as at December 31, 1913: 



Cash in Bank 487.72 



$1,120.69 



H. R. Mitchell. — 



Chief Clerk. Percy R. Pyne, 



January 1, 1914. Trca.s'iirer. 



