REPORTS OF COMMITTEES 



Treasurer's Report 



To the Directors of the Sierra Club: 



I beg to submit the following report on the finances of the Sierra 

 Club covering the period from, January i, 1918, to January i, 1919 : 



Balance cash on hand January i, 1918 $2,658.57 



Receipts during the year: 



Dues from members $3>664.75 



Advertisements in Bulletin 350.00 



Interest on Permanent Fund 250.00 



Rent of room 403 50.00 



Sale of Bulletins 21.60 



Sale of club pins i9-50 



Interest on savings accounts 41.24 



Interest on Liberty Bond 14.90 



Increased valuation of War Savings Stamps 6.00 



Sundry small receipts 50.75 



$4,468.75 



$7,127.32 



Expenditures during the year: 



Rent of rooms 402 and 403 $ 720.00 



Salary of Assistant Secretary 930.00 



Printing, postage and delivery of Bulletin No. 53. . 1,505.09 



Amount paid to Southern California Section 400.75 



Office expenses, postage, stationery, etc 



Telephone and telegraph service 129.89 



Le Conte Memorial Lodge 165.90 



Parsons Memorial Lodge 378.51 



Taxes 51.44 



Local walks, printing, etc 50.00 



Reunions 48.10 



Dues to other clubs 38.00 



Debit and exchange 9.00 



Interest debit on Liberty Bond 6.87 



Miscellaneous small expenses 45-45 



Total expenses 



Cash on hand January i, 1919 



$4,712.87 

 2,414-45 

 $7,127-32 



