EIGHTH ANNUAL REPORT. 43 



(general JF tmi. 



RECEIPTS. 



Cash Balance in Treasury, January I, 1903 $3,814 67 



Annual dues from members $9,790 00 



Life membership fees 1,800 00 



Interest 34 59 



Guide Books 1,337 5* 



Income from Stokes' Bird Fund 127 50 — 13.089 60 



$16,904 27 



EXPENDITURES. 



Stationery and office supplies $767 50 



Photographs and slides i,S79 9* 



Annual Report and Bulletin 2,583 21 



Advertising 436 70 



Miscellaneous expenses and supplies 487 73 



General office expenses 1,921 09 



Treasurer's office expenses ! . . 414 75 



Library 456 03 



Salary of Secretary 4,000 00 



Employers' insurance 322 93 



European trip, account Aquarium 73 67 



Insurance 345 88 



Bureau of Information 287 48 



Aquarium, expenses 19 75 



Publications for members 367 50 — $14,064 13 



Cash balance in Treasury, January i, 1904 2,840 14 



$16,904 27 



H. R Mitchell, Percy R. Pyne, 



Chief Clerk. Treasurer. 



January 1, 1904. 

 Examined and found correct by the New York Audit Company. 



