xxviii INTRODUCTORY PROCEEDINGS. 



FINANCIAL 



Receipts. 

 From November i, 1913, to October 31, 1914, inclusive. 



Entrance fees of new members for the year ending December 31, 1914: 



Members and Associates $620.00 



Juniors 10.00 



$630.00 



Dues for the year ending December 31, 1914: 



Members and Associates $6,125.00 



Juniors 30.00 



6,155.00 



Dues for the year ended December 31, 1913 : 



Members and Associates $1,060.00 



Juniors 10.00 



1,070.00 



Dues for the year ended December 31, 1912: 



Members and Associates $148.00 



Juniors 10.00 



158.00 



Dues for the year ended December 31, 1911 : 



Members and Associates 97.00 



Dues for the year ended December 31, 1910 : 



Members 25.00 



Members' dues in advance for the year ending December 31, 1915 40.00 



Sales of publications: 



Society transactions to members and dealers $710.00 



Special editions of papers 58.00 



768.00 



Exchange on checks, members' dues 11.72 



Banquet, Annual Meeting, 1913 1,303.10 



White Memorial fund 228.00 



Special fund , '. 25.00 



Panama fund 1,015.00 



Sale of office fittings 15.00 



Interest : 



On municipal bonds, City of New York $647.50 



On bank balances and certificates of deposit, Franklin Trust Company 129.97 



777.47 



Total receipts $12,318.29 



Balance cash in bank and on hand, November 1, 1913 1,489.70 



$13,807.99 



