Checking Stations 



_ ...: $ 1,141.69 $ 



Montana State Purchasing Department 



Funds Drawn by Purchasing Department $ $ 997.58 



Net Total Expenditures: 



Fish and Game Department $504,824.67 $1,023,784.54 



RECAPITULATION OF FUNDS 



May 1, 1946 to April 30, 1947 and May 1, 1947 to April 30, 1948 



Balance Forwarded: April 30, 1946 $ 244,716.72 



Income During Year: By Deposit with State Treasurer .— -- 567,435.06 



Income During Year: By Reimbursement — P. R. Funds - 56,615.79 



Remitted Direct to State Treasurer's Office - 285.00 



Funds Available During Year $ 869,052.57 



Expenditures During Year — Both Funds - 504,824.67 



Balance April 30, 1947 — Funds 131 and 104-11 $ 364,227.90 



Plus Pittman-Robertson Accounts Receivable -- 73,138.68 



Potential Fish and Game Funds: April 30, 1947 - $ 437,366.58 



Balance Forwarded: April 30, 1947 - $ 364,227.90 



Income During Year: By Deposit with State Treasurer — - 822,340.55 



Income During Year: By Reimbursement — P. R. Funds 1 1 7,429.52 



Total Income During Year - - - $ 939,770.07 



Funds Available During Year -..- - - $1,303,997.97 



Expenditures During Year — Both Funds — 1 ,023,784.54 



Balance: April 30, 1948 — Funds 131 and 104-11 - $ 280,213.43 



Plus P. R. Accounts Receivable: April 30, 1948 73,204.13 



Potential Fish and Game Funds — - $ 353,417.56 



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