REPORT OF THE TREASURER 



January 3rd to November 15th, 191O 



Receipts 



Membership dues $2,136.00 



Contributions 2,100.00 



Exhibition fund 609.00 



Exhibition and annual meeting (special) 250.00 $5,095.00 



Expenditures 



Rent 200.00 



Salaries 1,513.00 



Expenditures office (see statement Executive 



Secretary) 390.00 



Printing and stationery 666.29 



Postage 235.00 



Furniture 81.00 



Lantern slides, charts and office supplies 84.85 



Traveling expenses 50.00 



Exhibtion 100.00 3,320.14 



Balance on hand November 15, 1910 $1,774.86 



Total receipts and payments for the Exhibition were 

 not completed until after November 15th. The 

 final statement of the Exhibition Fund shows 



Contributions received $1,324.00 



Expenditures 1,205.17 



Balance $118.83 



AUSTIN MCLANAHAN, 



Treasurer. 



EXECUTIVE OFFICE ACCOUNT 



DR. 

 Received from the Treasurer to Nov. 15, 1910 $ 390.00 



CR. 

 By expenditures for 



Postage and stationery $ 104.50 



Clerical help 80.76 



Office supplies 45.39 



Books, etc., 42.38 



Janitor and messenger service, carfare, telegrams 39.27 



Multigraphing, Mimeographing 34.50 



Rental of typewriters 13.75 



Expressage 10.55 



Clipping service 10.71 



Balance on hand Nov. 15, 1910. . 



381.81 



8.19 



GERTRUDE B. KNIPP, 



Executive Secretary. 



