Annual Reports 
REPORT OF AUDITING COMMITTEE 
We, the undersigned, 'your auditing 
committee, beg to report that we have 
carefully examined the books of the Sec¬ 
retary and Treasurer, finding them cor 
rect. E. W. Berger, Chairman . 
R. E. Lenfest. 
REPORT OF SECRETARY 
Cash Account to May 4, 1922 
Receipts 
Balance from 1921 _$1,987.48 
Receipts from patron memberships, 6 at 
$100.00 _ 600.00 
Receipts from life memberships, 2 at 
$25.00 _ 50.00 
Receipts from perennial memberships, 6 
at $5.00 —_ 30.00 
Receipts from donations to deficit of 1920 325.00 
Annual membership fees, sale of back re¬ 
ports, etc. _ 1,438.22 
Total _ $4,430.70 
Expenditures 
18 bills totaling _$ 564.83 
7 remittances to Treasurer, totaling — 3,865.87 
Total _ $4,430.70 
Bayard F. Floyd, Sec. 
REPORT OF TREASURER 
Treasurer’s Account on May 4, 1922 
Receipts 
1921 
April 12, To balance in treasury_$ 79.38 
May 22, Secretary Floyd _ 1,000.00 
May 30, Secretary Floyd_ 200.00 
May 30, Secretary Floyd _ 15.00 
July 25, Secretary Floyd_ 987.48 
Aug. 25, Secretary Floyd,_ 241.34 
Nov. 19, Interest on bonds_ 51.87 
Nov. 19, Interest _ 13.78 
Dec. 28, S. C. Warner for P. H. R._ 100.00 
1922 
Jan. 25, Secretary Floyd _ 100.00 
Feb. 9, C. E. A. Hale’s fee _ 1.00 
Feb. 9, C. G. Atwater (perennial)_ 5.00 
Feb. 25, Loan from Treasurer — 324.29 
Feb. 27, E. O. Painter Estate .. 370.00 
Feb. 28, Secretary Floyd (contributed) 100.00 
March 8, President H. H. Hume (contrib¬ 
uted - 50.00 
March 9, H. W. Townsend’s fee- 1.00 
April 25, B. L. Hamner, patron fees — 100.00 
April 26, Secretary Floyd _ 500.00 
May 1, Mr. and Mrs. Mendell’s fees_ 2.00 
May 4, Secretary Floyd - 937.05 
May 1, Interest — - .97 
170 
$5,180.16 
