12 



THE RETROSPECT OF THE YEAR. 



Treasurer's Report. 



RECEIPTS. 



Balance from last report, 

 Received from invested funds, 



" " assessments of members, 



" " life membership fees, 



" " publications, 



" " other sources, 



Money borrowed. 



Interest received and funded. 



$508 97 



Also received from Almy, Bigelow & Washburn, $25, the nucleus of a Reception 

 Fund. 



EXPENDITURES. 



Salaries of secretary, assistant librarians and janitor, 



Fuel, 



Lighting and water. 



Labor, etc., on grounds. 



Postage and express. 



Supplies, ..... 



Insurance, ..... 



Interest on loan, .... 



Furniture and fixtures. 



Storage, ..... 



Lecture expenses, 



Reception " ... 



Our proportion of Athenaeum expenses. 



Repairs, ..... 



Boolis, . - . . . 



Publications and printing. 



Miscellaneous, .... 



Annuities, .... 



Interest added to manuscript fund, . 



North Bridge monument fund, 



Balance of cash on hand, .... 



$2,458 00 



309 76 



102 72 



51 15 



173 44 



72 90 



45 00 



208 50 



158 87 



51 80 



62 42 



197 35 



246 54 



158 68 



422 72 



1,626 62 



29 42 



610 00 



7 30 

 5 28 



$6,985 88 



12 58 

 804 75 



$7,803 21 



Respectfully submitted, 



W. O. Chapman, Treasurer. 



