FINANCE committee's REPORT. 



91 



REPORT OF THE COMMITTEE ON FINANCE. 



BY SAMUEL "WALKER. 



Boston, January 1, 1859. 



The Finance Committee have examined the Treasurer's account for the 

 past year, and respectfully submit the following Report: — 



Receipts for 1858. 



By Balance from last year, 

 Dividends and interest, 

 Rent from Store, 

 " Hall, 

 " " New purchase, . 



Receipts from Mount Auburn, 



" " Annual Exhibition, 



" " Monthly Exhibitions, 



Assessments collected. 

 Half taxes returned, and miscellaneous receipts, 



" Cash from Tremont Bank for Treasurer's note, dated April 

 21, 1858, payable in 3 months (being a renewal), 



Payments for 1858. 



To cash paid for Taxes, interest, and insurance, 

 " " Premiums and gratuities, 



» " Salaries, . . . . . 



" " Printing, binding, and advertising, 



" " Repairs, mechanics' and miscellaneous bills, 



" " Expenses of Annual Exhibition, 



" " Treasurer's note, dated and discounted Dec. 



21, at 4 months, .... 

 " " Josiah Bradlee, in full for mortgage note and 



interest, ..... 

 *' " Treasurer's note, dated and discounted April 



21, 1858, at 3 months (being a renewal), . 

 To cash in the treasury, ..... 



10,556 64 



984 50 

 m,541 14 



$657 80 



2,505 00 



500 00 



235 87 



1,533 90 



973 97 



1,000 00 



3,027 50 



1,000 00 

 107 10 



$11,541 14 



