Reports of Committees 



291 



REPORT OF THE TREASURER, MAY 3, I913, TO MAY 2, I914 



To THE Board of Directors of the Sierra Club: 



Gentlemen: I beg to submit the following report on the finances 

 of the Sierra Club for the year ending May 2, 1914: 



general fund 

 Receipts 



Cash on hand May 3, 1913 $2,883.55 



Cash received from the Secretary : 



Dues $4,592.00 



Advertisements 565.00 



Rent of club rooms 180.00 



Refund of Appalachian postage 109.00 



Sale of club pins 58.50 



Sale of Bulletins 9.29 



Interest on savings deposits 62.88 $5,576.67 



Total cash received $8,460.22 



Expenditures 



Publication : 



Printing and delivering Bulletins Nos. 49 and 50, and 



Appalachia, June, 1913 $2,309.86 



Rent: 



Rent of rooms. Mills Building $ 720.00 



Rent of telephone 79.21 



$ 799.21 



Service : 



Salary of Assistant Secretary $ 720.00 



Extra Service 7.45 $ 727.45 



General postage $ 510.80 



Printing of circulars 343-40 



Amount paid toward construction of Muir Lodge out of dues 



of new members from Southern California 228.00 



Regular amount voted to Southern California section 150.00 



Public lectures 158.60 



Amount authorized for clippings 145-75 



Purchase of club pins 136.80 



Stationery 129.60 



Le Conte Memorial Lodge 108.70 



Club room expenses 100.74 



Wild Cat Cafion Reunion 45.40 



Library Additions 24.50 



Soda Springs taxes 23.73 



Carried forward $5,942.54 



