18 
Nebraska Bird Review 
1968 TREASURER’S REPORT 
CASH 
INVEST¬ 
MENTS 
CURRENT 
ACCOUNT 
Balance January 1, 
1968 
834.72 
1,128.63 
RECEIPTS 
Memberships 
50 $3.00 Active 
60 $4.00 
390.00 
13 $5.00 Sustaining 
19 $6.00 
179.00 
7 $5.00 Family 
13 $6.00 Active 
113.00 
1 $7.00 Familv 31.00 
3 $8.00 Sustaining 
2 $2.00 Student 
4.00 
717.00 
Subscriptions 
4 $4.00 Direct 
17 $3.50 
75.50 
2 $3.00 Agencv 
1 $3.25 
8 $3.50 
37.25 
1 $3.75 Foreign 
Direct 
3.75 
116.50 
Miscellaneous 
Occasional Papers 
Checklists 
Field Cards 
Review Copies 
Emblem. Decals 
Interest Earned 
Net from Spring 
Meeting 
3.00 
35.25 
34.50 
12.00 
.50 
25.00 
37.95 
46.72 
194.92 
Total Income 
1,028.42 
DISBURSEMENTS 
Printing Review 
741.08 
741.08 
Officers’ Expenses 
Roger Sharpe 
Glenn LeDioyf 
R. G. Corteiyou 
Mrs. Sigvald Jensen 
Mrs. James Tate Jr. 
3.20 
33.75 
149.47 
13.00 
6.84 
206.26 
Miscellaneous 
State Permit 
Fidelity Bond 
Dues Notice Cards 
Review Postage 
3.00 
10.00 
14.10 
100.00 
127.10 
Total Expenses 
1,074.44 
Loss for 1968 
Cash to Investment 
400.00 
400.00 
Balance December 31, 1968 341.98 
TOTAL 
ASSETS 
1,963.35 
46.02 
1,575.35 
1,917.33 
