ROYAL ARTIL LERY B AND FUND. 
GENERAL CASH ACCOUNT FOR THE YEAR ENDED 31st MARCH, 1898. 
Balance in hand on 31st March, 1897 
By Subscriptions received . 
H Government Grant for 1897-8 . 
« Sale of old Instruments . 
„ „ Clothing . 
a Rebate of Income Tax for 1896-7. 
£ s. d. 
271 10 7 
1863 12 0 
100 0 0 
9 14 0 
6 0 0 
30 3 4 
.£2280 19 11 
Expenditure. 
To Postal Expenses . 
« Printing and Stationery . 
„ Insurance to Michaelmas, 1898, on £5000. 
" Allowance to Clerk. 
,, „ Pay Sergeant . 
a Cheque Books . 
n Miscellaneous . 
Purchase of Instruments, Slings, and Cases . 181 
Purchase of Music, Stands, and Cases . 85 : 
Repair of Instruments, Stands, Cases, &c . 22 ] 
Pay of Master and Musicians . 1012 j 
Clothing . 9 ] 
Lodging Allowance . 9 
Arranging and Copying Music. 20 
Postage and Carriage of Instruments . 2 
Stationery and Printing . 1 
Fuel and Articles for Practice Room and Stables . 12 
Yioliu and other Strings . 42 
Reeds and Drum-heads . 18 
Mounted Band 
48 0 11 
£9 4 2 
20 17 0 
340 0 0 
7 13 9 
Totals . 1417 0 
Balance in hand on 31st March, 1898 . 
9 0 
0 12 0 
5 4 6 
£ S. 
5 0 
d. 
0 
8 3 3 
18 15 0 
36 10 0 
9 2 6 
0 4 6 
3 6 9 
Total. 
1884 3 5 
315 14 6 
£2280 19 11 
GBNBE/AL STATEMENT. 
£ 
s. 
d. 
7 
5 
10 
2 
8 
0 
363 
16 
0 
£373 
9 
10 
Liabilities. 
Subscriptions for 1898-9 received in advance. 
Unpresented Cheque, Shaw and Sons. 
Balance credit, 31st March, 1898 
(Not including Instruments, Music, &c., which are insured for 
£5000.) 
Assets. 
Subscriptions unpaid to 31st March, 1898 . 
Due from Mounted Band, discount on Rudall Carte’s bill . 
Rebate of Income tax 1896-7, (not yet passed). 
Balance cash as per Cash and Pass Books . 
£ s. d. 
24 9 8 
0 17 8 
30 0 0 
318 2 6 
Total. 
F. O. BAIEKIKGTOM-FOOTE, IAetst.»(C«IloinieS R.A., President. 
It. J. MACIIOiVAFiD, < it it 1 0 in It.A., Secretary & Treasurer. 
