Table C.
Statement showing particulars of Expenditure by the Elected Committee from 1st January to 31st December, 1932.
RECEIPTS $ C. Balance from previous year, 159.99 Received from Permanent Board, 14,900.35 Miscellaneous Receipts, 36.52 Premium on bank notes, $ C. EXPENDITURE Decorations, 23.00 Food, .... 10.50 Light and Fire, 3,503.40 Miscellaneous, 1,686.06 Passage Money, 2,013.53 Petty Expenditure, 327.75 Printing, 363.34 Repairs, 60.00 C 25 Stationery, 22.30 Telephone, 147.34 Medical Apparatus and Drugs, 126.00 Wages, 885.70 Water Account, 5,047.80 Balance, 810.50 15,004.22 115.64 Total, $ 15,119.86 Total, $ 15,119.86