REPORT OF THE TREASURER 161 

 RECEIPTS 



1912 



Feb. 15 Balance on hand $ 76.26 



22 Membership fees 20.00 



Mar. 11 Membership fee 2.00 



11 Membership fees 34.00 



11 J. P. Watts and membership fees 20.00 



11 C. R. White, membership fees 6.00 



11 Membership fee 2.00 



Apr. 2 Membership fees 4.00 



14 King Construction Co., advt 18.00 



May 4 Membership fees 14.00 



June 20 " " 12.00 



July 5 " " 14.00 



Aug. 20 " " 6.00 



Sept. " ^ " ^ 8.00 



11 Appropriation, State Fair Commission 250.00 



14 Sale of vegetables 2.45 



Nov. 22 Membership fees 6.00 



1913 



Jan. 13 Montgomery Bros. Co., advt 25.00 



Feb. 7 Returned from Norton Ptg. Co 3.00 



F«b. 7 Membership fees 4.00 



$526.71 



Approved : 



E. R. Hay, 

 C. G. Locke, 

 Paul Work, 



Auditing Committee. 



Mr. Tuttle: Gentlemen, you have heard the report of your 

 Treasurer. Do I understand that the requirement of having these 

 books audited has been complied with.^ 



Mr. Hay: Mr. Work and myself, not being able to find Mr. 

 Locke, the third member of the Auditing Committee, went over the 

 books of Mr. Aldrich and found them correct in every respect, except 

 that vouchers were not present for some expenditures made recently, 

 the receipts not yet being returned. I have a list of those items. 

 (The missing receipts have since been received and the whole account 

 has been examined and approved by the full auditing committee.) 



Mr. Bonney: I move that the Treasurer's report be accepted 

 and adopted. 



Mr. Cook: I support that motion. (Carried.) 



