REPORT OF THE TREASURER 

 FROM FEBRUARY i, 1912, TO FEBRUARY i, 1913. 



Balance in bank, February i, 1912 $2,133.9? 



1912 Annual Dues $1,000.00 



1912 Initiation Fees 100.00 



Subscriptions to date to Special 

 Fund for the Preservation of 

 wild life in North America.. 3,760.00 



4,860.00 



$6,993-97 

 Disbursements : 



Rent to February I, 1913 $507.00 



Printing, etc 418.95 



Storage on B. & C. Club box. . 3.00 

 Refreshments, meeting April, 



1911 9-35 



Bookcase 12-74 



Washington dinner in May, 



1912, cost for 12 guests. . . . 78.00 



Typewriting, telephone calls, 



clerical work, postage, etc.. . 191.32 



Operator, screen and lantern, 



meeting of December 17.... 10.00 



Bank exchange i .41 



1,231.77 



Balance . $5,762.20 



REPORT OF AUDITING COMMITTEE 

 February 20, 1913. 



This is to certify that we have examined the account of the 

 Treasurer of the Boone and Crockett Club attached hereto, 

 and find the same correct; that all the expenditures are 

 proper, and that the balance is as stated. 



499 



