REPORT OF THE EXECUTIVE COMMITTEE. 



The general work of the society is shown by this volume of 



Transactions, and the various reports published by the news- 

 papers of the State. A summary of receipts and expenditures 

 and a statement of resources and liabilities make the following 

 financial showing for the year : 



RECEIPTS. 



Balance in treasury, Jan. i, 1905 $90 ii 



State stipend i,ck)0 00 



Interest on permanent fund . 90 34 



Life members 50 00 



Annual members for 1904 7 00 



Annual members for 1905 38 00 



Sale of report i 00 



Dividend on bank stock in liquidation 12 00 



Total receipts $1,288 45 



EXPENDITURES. 



Debt of 1904 in full $550 00 



Executive committee, travel and expense 99 23 



Treasurer, travel and expense 6 50 



Speakers 16 98 



Judges 3 45 



Postage 15 00 



Premiums paid 297 25 



Annual meeting 6 19 



Stenographer 47 85 



landing Transactions 28 40 



Hotel bills of officers and spCcikers 106 15 



Salary of Secretary in part 50 00 



Cash in treasury, Jan. i, 1906 61 45 



Total expenditures $1,288 45 



