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, 1919, to January i, 1920 : 



Balance cash on hand January i, 1919 $2,414.45 



Receipts during the year: 



Dues from members $4,811.45 



M. H. McAllister, Half Dome stairway 1,000.00 



Advertising in Bulletin 400.00 



Rent of room 403, Mills Building 120.00 



Part of interest from Permanent Fund 42.50 



Sale of club pins 31-95 



Sale of Bulletins 20.25 



Interest on savings account 38.82 



Increased valuation War Savings Stamps 12,00 



Miscellaneous small receipts 29.05 6,506.02 



Expenditures during the year : $8,920.47 



Rent of rooms 402 and 403, Mills Building $ 740.00 



Salary of Assistant Secretary 960.00 



Printing and distribution of Bulletin 1,666.01 



Payments on Half Dome stairway 1,000.00 



Payments to Southern California Section 411.00 



Office expenses, postage, and stationery 625.99 



Commission on advertisements 168.75 



Expenses of Le Conte Memorial Lodge 107.05 



Telephone and telegraph 101.74 



Traveling expenses 68.92 



Printing and distribution of circulars 56.00 



Taxes 54-23 



Local walks 51.10 



Dues to other clubs 43-00 



Election expenses 36.75 



Lectures and reunions 33-25 



Purchase of club pins 14-49 



Express 7.11 



Telephone at Soda Springs 4-65 



Debit and exchange 5-00 



Miscellaneous small expenses 7-64 



Total expenses. . 

 Cash on hand January i, 1920 



$6,162.68 

 2,757.79 

 $8,920.47 



