INTRODUCTORY PROCEEDINGS. xxvii 



STATEMENT. 



Disbursements. 

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



Publications : 



Printing Volume 22 $4,004 80 



Printing Membership Year Book 146 90 



Binding old volumes 91 30 



Forwarding volumes and papers 66 56 



Storage of volumes 120 40 



Miscellaneous printing 31 89 



$4,461 85 



Rent of safe deposit box, Franklin Trust Company 5 00 



Expenses, 22nd Annual Banquet, December, 1914 1,062 60 



Expenses, 22nd Annual Meeting, December, 1914 453 99 



Exchange on remittances, members' dues 8 57 



Salaries and clerical expenses 1,380 00 



Audit of books and accounts to November 1, 1914 180 00 



Rent of Society rooms 310 82 



Office expenses, postage, stationery, etc 775 84 



Engineering Congress 500 00 



Investment : 



Purchase of certificate of deposit, Franklin Trust Co 1,000 00 



Total disbursements $10,138 67 



Balance cash, October 31, 1915 : 



In Franklin Trust Company $4,425 42 



On hand 28 96 



4,454 38 



$14,593 05 



