viii Annual Report. | February, 1918. ; ‘ 
The total expenditure for the year has amounted to 
Rs. 22,592, or nearly Rs. 3,400 less than the estimate, but we 
have liabilities outstanding which are estimated at about 
Rs. 6,800 or Rs. 4,000 more than those outstanding at the end — 
of last year. | 
The Society’s working balance (exclusive of all funds at : 
ministered for Mek cummed has been increased by Rs. 758 aad 
stands at Rs, 20,650. : 
The Pataca eh Fund has been increased by Rs. 60 2 
and stands at Rs. 1 e 
The Budget tite of ee Receipts and Bxpeni- : 
ture for the year 1918 is as follow 
Rs. Rs. | 
Receipts -. 21,300 Ordinary Expenditure. nat | 
Extraordinary Expen- 
diture .. i 
Total a 
We therefore anticipate a loss of rather more than Rel 
on the year’s workin ing. This will have to be met from the 
temporary reserve. ; 
BUDGET ESTIMATE FOR 19138. 
Receipts. 
[L emi Outstanding Liabilities to the Society incurream 
Members during the Year.) 
1917. 1987. 
Estimate. Actuals. Estim 
Rs. ae me 
Members’ Subscriptions .. 10,000 9,490 9,000 
Subscriptions for the So- oe 
ciety’s Journal and Pro- 00 
ceedings and Memoirs .. 1,700 1,848 1,700 : 
Sale of Publications as 200 1,398 ee 
Interest on Investments 2+ ~ 2,660 7,998 500 
Rent of Room - 600 OO - 
Miscellaneous , . 100 244 
Sale of Receipt: Book .- G — 
Travelling sce refunded .- 166 2 
Advance refunded ue 1,000 
pe acct 
Toman .. 20,260 22,750 21,800 
