TRl.ASrRER'S REPORT 



FISCAL YEAR ENDING JUNE 22. 1''21 



Receipts: 



Bank Balance June 2nd, 1920 $ 363.89 



Dues ' 896.10 



Interest 638.73 



Returned from Research Expense 82.98 



Frei2:ht Rebate on South Sea Collection 99.54 



Fidelitv Sa\-in2:s and Loan 1,100.00 



Mr. Parish— B\illetins 6.00 



$3,187.24 



DlSRURSEISIEXTS: 



Bulletin Expense $ 715.39 



Lecture Expense 347.30 



Office Expense 73.35 



Research Expense 1,350.00 



Sundries 89.75 



Freight on South Sea Collection 99.54 



Total Disbursements $2,675.33 



Cash in First Nat'l Bank June 22, 1921 511.91 



$3,187.24 



Investments Account Balances: 



Mortgage Guarantee Bonds @ 5>^%... .■ $ 5,200.00 



Fidelitv Savings & Loan Stock @ 6%.. 2,000.00 



5rd Libertv Loan @ 4^4% 2,650.00 



4th Libertv Loan @ 4>4%.. 200.00 



$10,050.00 



