COUNCIL — SEPTEMBER 1912 



— 10 



Under Head 2 of the Agenda (Statement of Accounts for the 

 financial year 1911 — 12, Nomination of the Members of the Finance 

 Committee for the year 1911 — 12) the General Secretary further stated: — 

 "As regards the financial year 1911 — 12 a Statement of Account has been distri- 

 buted one month before the meeting (as included below) ; it appears from the 

 "Receipts" that a surplus of Kr. 3612,82 has been received from the Central 

 Laboratory, Christiania; as to the "Expenditure" the different heads correspond very 

 closely with the estimate except for printing, where there is a surplus of about 7000 Kr." 

 — No remarks were made. 



Statement of Accounts for the financial year 1911- 



Receipts: 



Estimates 



I. 1. Balance from 1910/11—1911/12 Kr. unssAi 



II. 2-fl. Annual contributions of the governments concerned - 9472.^.00 



III. 10. Sale of publications - 200.00 



IV. 11. Interest - 1200.00 



V. 12. Surplus from the Central Laboratory, Christiania - 0.00 



VI.13. Sale of "Normal Water" - 0.00 



Total . . . Kr. 130784.42 



-12. 



Real 

 Receipts 



34659.42 



94580.15 



410.20 



1440.36 



3612.82 



373.37 



135076.32 



Expenditure : 



Estimates E^p^^^^lture 



I. 1-3. Salaries Kr. 15000.00 15000.00 



II. 4-5. Assistance - ssso.oo 8551.88 



III. 6—10. Incidental Expenses - secoo.oo 26225.00 



IV. 11. Travelling Expenses - 0000.00 2728.11 



V. 12—19. Expenses of the Office in Copenhagen - 0970.00 6959.69 



VI. 20. Minor Expenses of Meetings - 300.00 298.70 



VII. 21-25. Expenses in accordance with special Resolutions ot 



the Council - i407o.oo 12417.81 



VIII.3G-32. Printing - 23900.00 16815.75 



IX. 33. Unforeseen Expenses - 29364.42 44.06 



Total. . . Kr. i30784.42 89040.50 



Receipts for the financial year 1911—12 Kr. 135076.32 



Expenditure - - — - - - 89040.50 



Cash balance to carry forward from 1911/12—1912/13 Kr. 46035.82 



