Table C.
Statement showing particulars of Expenditure by the Elected Committee from the 1st January to the 31st December, 1911.
RECEIPTS EXPENDITURE Balance from previous year, $ 50.80 Decorations, Food, $ 69.48 Received from Permanent Board, $ 10,890.00 Grant to Miss Eyre's Refuge, $ 490.00 Miscellaneous Receipts, $ 45.45 Insurance, $ 316.61 Premium on bank notes, $ 3,842.66 Light and Fire, $ 321.64 Miscellaneous, $ 1,277.77 Passage Money, $ 1,094.42 Petty Expenditure, Printing, Repairs, Stationery, Telephone, Wages, $ 90.06 Balance, $ 168.55 $ 126.55 $ 670.89 $ 131.81 $ 110.53 Total, $ 11,324.06 Total, $ 2,840.40 $ 11,213.23 $ 110.83 $ 11,324.06