124 PROCEEDINGS OF THE PALEONTOLOGICAL SOCIETY 



Treasurer's Report 



To the Council of the Paleontological Society: 



The Treasurer begs to submit the following report of the finances of 

 the Society for the fiscal year ending December 23, 1922 : 



RECEIPTS 



Cash on hand December 24, 1921 $672.27 



Membership fees 297 . 30 



Interest. Connecticut Savings Bank 24.46 



$994.03 



EXPENDITURES 



Secretary's office : 



Secretary's allowance $50 . 00 



Clerical work 25.00 



Office expenses 59 . 30 



— $134.30 



Treasurer's office : 



Treasurer's allowance $25 . 00 



Postage 3.00 



28.00 



Geological Society of America : 



Printing programs, etcetera $3.45 



Reprints 26.06 



29.51 



191.81 



Balance on hand December 23. 1922. $802.22 



Net increase in funds $129 . 95 



Outstanding dues (1921, 1 : 1922, 11) 36.00 



Eespectfully submitted, Eichard S. Lull, 



Treasurer. 



New Haven, Conxecticcjt, December 23, 1922. 



APPOINTMENT OF AUDITING COMMITTEE 



A committee consisting of W. H. Twenhofel and F. B. Loomis was 

 then appointed by the President to audit the Treasurer's accounts. 



ELECTION OF OFFICERS AND MEMBERS 



President Matthew then announced the results of the ballots for the 

 election of officers for 1923 and of new members. 



