xxvi INTRODUCTORY PROCEEDINGS. 



FINANCIAL 



Receipts. 

 From November i, 1909, to October 31, 1910, inclusive. 



Entrance fees of new members for the year ending December 31, 1910: — 



Members and Associates (45) $450 00 



Juniors (8) 40 00 



$490 00 



Promotion of Juniors to Members (7) 43 00 



Dues for year ending December 31, 1910- — 



■ Members and Associates S5i347 00 



Juniors 180 00 



5,527 00 



Dues for year ended December 31, 1909: — 



Members and Associates $1,763 00 



Juniors 130 00 



1,893 00 



Dues for 5'ear ended December 31, 190S: — 



Members and Associates ?I49 00 



Juniors 1000 



159 00 



Dues for year ended December 31, 1907: — , 



Members and Associates $60 cx) 



Juniors iS 00 



75 00 



Dues for year ended December 31, 1906: — 



Members and Associates $80 00 



Juniors 5 00 



• 85 00 



Dues for year ending December 31, 191 1, paid in advance 35 00 



Sales of publications: — 



Special editions of papers $87 40 



Society transactions to members and dealers 1,008 05 



«.095 45 



Exchange on checks — members' dues '4 99 



Banquet — annual meeting, 1909 $595 00 



Annual meeting, 1910 30 00 



625 00 



Interest: — • 



On municipal bonds, City of New York 647 50 



On bank balances — Franklin Trust Company 5 69 



653 19 



Recovery of transportation and expense charges 20 04 



Total receipts $10,715 67 



Balance, cash in bank and on hand, November i, 1909 152 85 



$10,868 52 



