Appendix to Chapter VII 111
January, 1873, to June, 1873
RECEIPTS
Notes and subscriptions .............................$ 2,252.30
Balance due Treasurer .......................................37.22
Interest on investments 349.65
$ 2,639.08
DISBURSEMENTS
Faculty on salary ........................................$ 1,720.42
Repairs on College building .............................438.72
Other expenses 479.94
$ 2,639.08
June, 1873, to June, 1874
RECEIPTS
Notes and subscriptions ............................$14,257.19
Interest on investments 822.32
$15,079.51
DISBURSEMENTS
Faculty on salary ........................................ $ 3,468.55
Agents for collecting .................................... 4,411.55
Removal of depot .......................................... 1,963.52
Invested in 1st mortgage bonds .................... 2,200.90
Balance due Treasurer for 1873, January-June . 37.22
Insurance and other expenses .......................... 251.85
Treasurer's salary.............................................. 250.00
Balance in Treasury 2,495.92
$15,079.51
June, 1874, to June, 1875
RECEIPTS
Notes and subscriptions ..............................$ 7,298.89
Balance in Treasury, 1873-74 ........................2,495.92
Interest on investments 467.14
$10,261.95
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