1921.1 



PUBLIC DOCUMENT — No. 31. 



11a 



State Appropriations. 

 Cash balance brought forward from last fiscal year, 

 Cash received from State Treasurer, . 



fees, 



sales, 



miscellaneous. 



$21,992 62 



55,875 80 



155 77 



5,530 79 



2,022 02 



Total, 



),577 00 



