414 



Twenty-Second Annual Report of the 



for the excellent esprit de corps which has prevailed throughout 

 the year. 



The report of the Treasurer is appended. 



Respectfully submitted, 



W. J. Wright, 



Director 

 Treasurer's Report 

 (For the Year Ending September 30, 1915) 



MAINTENANCE FUND 



Debit 

 Balances October 1, 1914: 



Unexpended, Chapter 729, Laws 1913 $455.33 



Unexpended, Chapter 833, Laws 1913 66.66 



Farm, dairy, and greenhouse receipts 264.27 $786.26 



State Appropriation, Chapter 529, Laws 1914 40,000.00 



State Appropriation, Chapter 530, Laws 1914 3,375.00 



State Appropriation, Chapter 726, Laws 1915 2,300.00 45,675.00 



Farm, dairy, and greenhouse receipts 5,561.82 



$52,023.08 



Credit 



Remitted to State Treasurer, receipts $5,594.50 



State Appropriation, Chapter 833, Laws 1913: 

 Special appropriation for deficiency in maintenance 

 for the year ending September 30, 1913. Unex- 

 pended balance lapsed 66.66 



Real estate $288.24 



Real estate maintenance 301.80 



Office equipment 299.07 



Office maintenance 766.78 



School equipment 725.59 



School maintenance 5,161.78 



Farm equipment 175.87 



Farm maintenance 8.568.85 



Publications 345.06 



Salaries and wages 21,696.05 



Traveling expenses 1,149.47 



Miscellaneous 115.55 39,594.11 



Balances October 1, 1915: 



Unexpended, Chapter 529, Laws 1914 4,675.82 



Unexpended, Chapter 726, Laws 1915 1.860.40 



Farm, dairy, and greenhouse receipts 231.59 6,767.81 



$52,023.08 

 CONSTRUCTION, ETC., FUND 



Debit 

 Balance unexpended October 1. 1914, Chapter 791, 



Laws 1913 187.41 



Credit 



Office equipment $110.00 



Farm equipment 77.41 $1S7.41 



Curtis F. Randolph, Treasurer. 



