REPORT OF THE TREASURER 
17 
TREASURER’S REPORT 
receipts 
Cash on hand, April 24, 1920 $182.81 
Transfer and entrance fees 87.00 
Annual dues from members 384.60 
Eighty-nine A. A. A. S. dues of $4.00 each_ 356.00 
Entrance fee, one new member A. A. A. S 5.00 
Deposit by parties desiring A. A. A. S. membership lists — 4.50 
Refund overpaid by A. A. A. S 7.00 
Sale of Proceedings 6.02 
Unaccounted for 1.00 
TotaL____ - $996.93 
DISBURSEMENTS 
Postage and supplies for Secretary $ 6.25 
Clerical help and postage for Treasurer 13.80 
Telegraph and telephone service 2.69 
Printed programs, 1920 meeting 13.00 
Honorarium to Secretary 75.00 
Honorarium to Treasurer 25.00 
To Miss Newman, distributing Vol. XXVI_ 10.00 
Refund to members- 5.50 
Remittance of 89 A.A.A.S. dues of $4.00 each 356.00 
Remittance of one entrance fee, A. A. A. S 5.00 
Remittance for membership lists 4.00 
Overpaid refund returned to A. A. A. S 7.00 
Deposit in savings account 400.00 
Gash on hand, April 29, 1921 73.69 
Total 4996.93 
The total assets of the Academy are as follows : 
Cash on hand as stated above $ 73.69 
Savings account 400.00 
Accrued interest to May 1 4.75 
Total $478.44 
In addition to this there are outstanding dues amounting to 
twenty-five or thirty dollars the greater part of which will even- 
tually be paid. The total assets may then be estimated as close 
to five hundred dollars. This amount is the largest balance ever 
