1919.1 



PUBLIC DOCUMENT — No. 31. 



11a 



State Appropriation, 1917-18. 

 Cash balance brought forward from last fiscal year, 

 Cash received from State Treasurer, . 



fees, . 



sales, . 



miscellaneous, 



$15,901 00 



46,000 00 



10,638 10 



9,448 87 



3,651 37 



Total, 



55,639 34 



