Volume s1-2, Issue 4
  • ISSN: 0002-9637
  • E-ISSN: 1476-1645


On receiving the funds and records of the Treasurer's office from the former Treasurer, January 5, 1922, I found that the following transactions had occurred since the last audited report of the former Treasurer, as shown by records now in my possession.

Balance in bank, November 9, 1921 $310.80

Membership dues 64.00

Total receipts $374.80

Exchange on checks $0.05

Transfer of funds to new Treasurer, December 20, 1921 374.75

Total Expenditures $374.80

Since assuming charge of the Treasurer's office I have received and expended money and have incurred liabilities on the Society's account as shown by the following summary:

From former Treasurer (deposited with McLachlen Banking Corporation, Washington, D. C., January 5, 1922 $374.75

Membership dues (arrears prior to 1919) 10.00

Membership dues (1919) 4.00

Membership dues (1920) 28.00

Membership dues (1921) 68.00

Membership dues (1922) 445.49

Total receipts $930.24

To Williams and Wilkins for publications:

Subscriptions, volume 1 of J $214.00

Transactions sixteenth Annual Meeting 40.78

Expenses of office of Secretary-Treasurer:

Printing and stationery 19.00


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