REPORT OF COUNCIL. 
• . v..' ’ ■ m i ^ 
• Brought forward, $55 0 00 
Bulletin XXVI 169.80 
Interest on Mortgages 87.09 
Water Rates 28.00 
Stationery and Printing 43.95 
Lighting 35.12 
Postage and Expressage 30.50 
Insurance 111.75 
Purchase of Specimens 3.50 
Sundries 136.35 
New Wall Cases 45.27 
Amount added to “Mortgage Fund” 140.00 
Library Card Index and Cards 14.34 
Balance in Bank of N. B 815.72 
151 
■ : i '*! 
$2,211.39 
$2,211.39 
Examined and found correct. 
October 15th, 1908. 
A. Gordon Leavitt, Treasurer. 
W. F. Burditt, 1 
James A. Estey, J 
Auditors. 
Of the balance of $815,772, $33.00 is held in trust for the 
Ladies’ Association. 
Our liabilities consist of two mortgages amounting to $3,500. 
unsettled bills for repairs to walls, roof, etc., of $195.35, and the 
cost of the Bulletin, which will soon be under way. 
The ‘‘ Mortgage Fund ” amounts to only $7.93, $500.00 hav- 
ing been used to reduce the mortgage from $4,000 to $3,500. 
The building is insured for $8,000.00 and the collections for 
$ 3 > 5 °°- 00 - 
Treasurer's Statement for Year Ending 30th September, 1909 
Income — 
Balance from 1907-8 . 
Ordinary Fees 
Associate Fees 
Junior Associate Fees 
Junior Fees 
$815.72 
$401 . 00 
363.00 
8.00 
20.00 
Carried forward, 
$792.00 
