REPORTS OF COMMITTEES 



Treasurer's Report 

 To the Directors of the Sierra Club: 



The following report on the finances of the Sierra Club for the year ending 

 December 31, 1921, is respectfully submitted. 



Joseph N. Le Conte, Treasurer 



Received: general fund 



Dues from 353 new members, at $5.00 each $ 1,765.10 



Dues from 1597 old members, at $3.00 each 4791.30 



Total dues received $ 6,556.40 



Advertising in Sierra Club Bulletin 479-53 



Sublease of Room 403, Mills Building 240.00 



Int. on Liberty Bonds of Permanent Fund for 1920, transferred 85.00 



Part interest on Liberty Bonds of Permanent Fund for 192 1 . 63.75 



Interest on savings-bank accounts 74-34 



Income accrued on War Savings Stamps 24.00 



Sale of song-books and small receipts 97.00 



Sale of Bulletins 69.15 



Sale of pins and postage-stamps 31-85 



Total received $ 7,721.02 



Expended: 



Office rent $ 900.00 



Salary of Assistant Secretary 1,180.00 



Total cost of 192 1 Bulletin, printing and cuts 2,720.71 



Distribution of Bulletin, postage and mailing 168.35 



Cost of securing advertisements 108.75 



General office expenses, postage and stationery 440.74 



Telephone service and telegrams 169.82 



Proportion of dues to Southern California Section 898.00 



Expenses of Le Conte and Parsons lodges 291.33 



Printing of circulars and notices 1 7 1-7 1 



Expenses for "Save the Parks" movement 553-22 



Printing of song-books 156-90 



Local walks expenses 68.45 



Traveling expenses of directors to meetings 62.00 



Taxes on club room and Soda Springs property 59-98 



Additions to the library 48.82 



Election expenses I5-I5 



Purchase of club pins 55-13 



