Table C.

Statement showing particulars of Expenditure by the Elected Committee from

1st January to 31st December, 1928.

RECEIPTS. Balance from previous year, $28.81 Received from Permanent Board, $9,960.00 Miscellaneous Receipts, $14.60 Premium on bank notes, Total, $10,003.41 EXPENDITURE, Decorations, $62.86 Food, $3,228.30 Light and Fire, $1,090.27 Miscellaneous, $198.53 Passage Money, $142.74 Petty Expenditure, $525.22 Printing, $175.90 Repairs, $235.90 Stationery, $101.00 Telephone, Insurance, Wages, $108.00 Balance, $3,988.00 Total, $9,985.28 ... $18.13 Total, $10,003.41

... - C 44

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