TREASURER'S REPORT. 



Receipts, $ cts. 



Members' fees 1,839 00 



Government Grant ; ; 1,800 00 



Advertising 17 50 



3,656 50 



Ralance at last audit 751 83 



$4,408 33 



Disbursements. $ cts. 



Postage and Telegrams 74 22 



Freight and express 13 20 



Duties 39 80 



Printing, binding and mailing 906 55 



Directors' and Committees' Expenses 588 78 



Audit, 1881 20 00 



Guarantee premium 20 00 



Rooms, meetings 4 00 



Stationery 13 40 



Advertising 20 00 



Clerk 100 00 



Reporting winter meeting 55 00 



Plant distribution 497 28 



Illustrations 331 50 



Commissions collecting fees 66 15 



Secretary 200 00 



Editor 400 00 



Balance in treasury 1,058 45 



$4,408 33 



Liabilities. $ cts. 



Printing, binding and mailing 500 00 



Illustrations 225 00 



Directors and committees 200 00 



Audit, 1882 20 00 



Reporting summer meeting 35 00 



Postages, express and duties 45 00 



$1,025 00 

 We certify the above to be a correct abstract. 



John A. Bruce, ) . ,., 



• CI > Auditors. 



Angus Sutherland, J 



