39
Report of the Treasurer.
Baltimore, February 22, 1895.
Cash on hand February 22, 1894 ........................... $403 23
RECEIPTS
.
Annual dues from 67 members . . . . $335 00
Interest on deposits . . . . . . . . . 14 93 349 93
$753 16
PAYMENTS
.
Books and papers............................ $ 61 24
Bookbinding....................................... 18 75
Book case ......................................... 15 00
Salary to the Secretary . . . . . 100 00
Stationary, postage and printing . 23 31
Advertising.......................................... 25 36
Commission to the Collector . . . 12 00
Sundry Expenses ................................ 17 50 273 16
Balance, on deposit in the Hopkins Place Savings Bank, $480 00
RESPECTFULLY SUBMITTED
,
R. M. ROTHER, Treasurer.
Examined and found correct,
G. W. GAIL,
CHAS. F. RADDATZ,
FRED. L. GREEBLE.