Reports, 277 



Brought forward $4,192.70 



Accessions to the library 38.00 



Purchase of Club pins 28.95 



National Park promotion 21.10 



Expenses on account of Soda Springs purchase 18.55 



Local walks 10.70 



Telegrams and telephones 5.75 



Express 3.15 



Taxes 1.17 



Incidentals 10.05 



Total expenditures $4,320.12 



Cash on hand May 4, 1912 — 



On deposit First National Bank $1,658.93 



In the Savings and Loan Society 341.56 



In the Security Savings Bank 647.02 



In the Secretary's drawer (cash) 36.88 



Total $2,684.39 



$7,004.51 



PERMANENT FUND. 



On deposit in Security Savings Bank, ]\Iay 6, 1911 $ 892.41 



Interest accumulated during year 34-34 



New Life Memberships during year 100.00 



Total on deposit in Security Savings Bank $1,026.75 



