98 JOURNAL AND PROCEEDINGS 



Financial Statement. 



Statement of Receipts and Disbursements for Year Ending 

 gth May, 1889. 



RECEIPTS. 



Balance as per Statement, 1888 $ 63 53 



Government Grant 400 00 



Subscriptions 165 00 



Sale of Books 31 50 



$660 03 



DISBURSEMENTS. 



Postage and Commission $ 55 °° 



Gas 9 84 



Books, Stationery, Printing and Advertising 192 90 



Rent 200 00 



Insurance 12 50 



Furniture 12 50 



Balance 163 49 



$660 03 

 RICHARD BULL, 



Treasurer. 



I have examined and compared the vouchers with the above, 

 and find it correct. 



A. T. NEILL, 



Auditor. 

 May 9th, 1889. 



