Treasurer's Report 



For the Fiscal Year Ending April 30, 1922 



RECEIPTS 



Balance brought forward from year 1920-1921 (Deficit) . $1,129.82 



Appropriation from City of Springfield 132,000.00 



Dog tax from City of Springfield 5,737.00 



Alice W. Adams fund 45.00 



Aston fund 50.00 



Fanny Hazard Bond fund 200.00 



John Byrant fund 225.00 



Chester W. Chapin fund 500.00 



O. H. Greenleaf fund 300.00 



Augustus G. Hazard fund 250.00 



J. Searle and Julia S. Hurlbut fund 50.00 



The King fund 81.25 



Charles M. Kirkham fund 220.00 



Charles S. Marsh fund 250.00 



Charles Merriam fund 385.00 



Sarah J. Moore fund 320.00 



Caroline L. Rice fund 250.00 



Grace Rumrill music fund 560.00 



Joseph L. and Margaret H. Shipley fund 107.50 



George W. Tapley fund 45.00 



James M. Thompson fund 250.00 



Dr. William Tully fund 52.50 



David A. Wells fund 5,495.00 



Net income, Edwards Street house 453.88 



From Catharine L, Howard Library Association. 317.28 



Interest on bank balances 931.97 



Fees for overdetention of books 7,552.24 



Net receipts from duplicate collection 505.47 



Non-resident cards 198.25 



Miscellaneous receipts 512.55 



Total receipts $156,715.07 



EXPENDITURES 

 General Expenses 



Engineers, janitors, and watchman $5,561.93 



Fuel 7,350.00 



Insurance, repairs, care of grounds, and miscellany 2,962.19 



Refund of money borrowed from Porter fund 1,000.00 



$16,874.12 



Library Expenses 



Salaries $53,220.76 



Pages 2,658.04 



Sunday and holiday service ' 446.29 



Cleaning 2,533.07 



Books 9,665.70 



