INTRODUCTORY PROCEEDINGS. 



FINANCIAL 



Receipts. 

 From November i, 1914, to October 31, 1915, inclusive. 



Entrance fees of new members for the year ending December 31, 1915 ; 



Life Members $200 00 



Members 35S 00 



Associates 70 00 



Juniors IS 00 



$640 00 



Dues for the year ending December 31, 1915 : 



Members and Associates $6,350 00 



Juniors 35 00 



6,385 00 



Dues for the year ending December 31, 1914: 



Members and Associates $880 00 



Juniors • IS 00 



895 00 



Dues for the year ending December 31, 1913 : 



Members and Associates $170 00 



Juniors 10 00 



180 00 



Dues for the year ending December 31, 1912 : 



Members and Associates ». • 60 00 



Dues for the year ending December 31, 1911 : 



Members and Associates 30 00 



Dues for the year ending December 31, 1910: 



Members 10 00 



Members' dues in advance for the year ending December 31, 1916 30 00 



Sales of publications : 



Society transactions to members and dealers $898 25 



Special editions of papers 99 50 



997 75 



Exchange on remittances, members' dues 9 OS 



Banquet, Annual Meeting, 1914 1,175 00 



Panama fund 550 00 



Interest : 



On municipal bonds. City of New York $332 SO 



On bank balances and certificates of deposit, Franklin Trust Company 35 45 



367 95 



Total receipts $11,329 75 



Balance cash in bank and on hand, November 1, 1914 3,263 30 



$14,593 05 



