1922. 



PUBLIC DOCUMENT — No. 31. 



79 a 



State Ap-projjriotivns, 1020-21 

 Cash balance brought forward from last fiscal year 

 Cash received from State Treasurer . 



fees 



sales 



miscellaneous 



176,430 03 



15,095 88 



10,128 13 



343 56 



$101,997 60 



