200 



Sierra Club Bulletin. 



Report for 1906-1907. 



GENERAL FUND. 



Receipts. 



Cash on hand May 6, 1906 $ 5 77 



Cash received from Wm. E. Colby, Secretary 2,714 75 



Cash received from Addie Lathrop, Stenographer 3 00 



Cash received from C. A. Murdock & Co 20 00 



Total cash received $2,743 52 



Expenditures. 



Printing of Bulletin No. 35 $ 677 60 



Stamps and stationery 293 05 



Clerical work for twelve months, at $15 per month. . . . 180 00 



Printing of circulars and notices 120 25 



Typewriting 100 75 



Advertising expenses 78 75 



Le Conte Memorial Lodge expenses 74 35 



Distributing of Bulletins and circulars 66 40 



Transfer to Refurnishing Fund 30 00 



Express on books from the East.. 20 35 



Walk advertisements in the San Francisco Chronicle . . 5 80 



Sundries, telegrams, etc 20 95 



$1,668 25 



Balance cash on hand May 4, 1907 1,075 27 



$2,743 52 



PERMANENT FUND. 



{From Life Memberships.) 

 On deposit in Security Savings Bank $357 45 



REFURNISHING FUND. 



On deposit in Mechanics' Savings Bank $257 58 



Very respectfully, 



Joseph N. Le Conte, 

 San Francisco, Cal., May 20, 1907. Treasurer. 



