Report of the Treasurer 411 



INCOME AND EXPENSE ACCOUNT— EXPENSE, continued 

 General Expenses — 



Annual Meeting Expense ; $467 05 



Auditing 125 00 



Cartage and Expressage 59 04 



Depreciation on Boats 127 09 



Depreciation on Ofl&ce Furniture 383 25 



Electric Light 3 2 86 ' . 



Exchange on Checks 20 88 



Envelopes and Supplies 722 60 



Insurance 223 45 



Legal Services 260 00 



Miscellaneous 354 60 



Multigraphing 68 70 



Publicity and Propaganda 11,401 44 



Office and Storeroom Rents 2,971 00 



Office Assistants 8,726 53 



Postage 1,217 37 



Supply Department Expense 2,267 94 



Stencils, Addressograph machine 68 96 



Telegraph and Telephone 301 74 



Total Expense 



Balance being Net Profit for year carried to Stir plus (Exhibit A) . 



INCOME 



Members' Dues 



Contributions 



Interest on Investments 



Supply Department Receipts — 



Bird Books $2,766 61 



Bird-Lore 716 20 



Educational Leaflets Sj5S5 35 



Field-Glasses 2,986 12 



Slides 511 00 



Bulletins 149 23 



Cabinets 416 76 



Charts 683 57 



- 29,799 50 



$67,091 

 2,914 



94 

 81 



$70,006 



$22,635 



8,426 



25,160 



75 



00 

 41 

 50 



13,784 84 



Total Income $70,006 75 



