xix
ROYAL ASIATIC SOCIETY
HONG KONG BRANCH
INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31ST DECEMBER, 1982
1981 HK$ $41,335 Journal and Other Publications $34,300.00 HK$ $ 500 Life Memberships + $ 3,920.00 3,374 + + Activity Expenses (Annual General Meeting, Dinner, Symposium and Outings) 19,497 Annual Memberships + 20,547.20 4,218.50 12,679 Sales of Publications.. · 14,383.74 7,800 Secretarial Assistance 8,400.00 2,188 Purchase of Books + + 2,308.00 2,585 Receipts from Members for Activities 19,191 Bank Interest Received 3,130.00 21,384.03 6,043 Sundry Expenses (Printing, Stationery, Postage, etc.) 10,035.80 3,510 Dividends Received 200 Donation Received י 4,146.90 200.00 3,500 Annual Subscription to Hong Kong Arts Centre + 4,200.00 81 Sundry Receipts 117.20 3,000 Rent for Library in Hong Kong Arts Centre Tours: Amount received from members $2,850.00 Purchase of Equipment + + I 5,792.20 Amount paid out 2,000.00 850.00 $67,240 8,997 $71,666.50 $67,240 Balance being Deficit of Expenditure over Income transferred to Accumulated Funds 2,987.43 $71,666.50$71,666.50
xix
ROYAL ASIATIC SOCIETY
HONG KONG BRANCH
INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31ST DECEMBER, 1982
1981
$41,335 Journal and Other Publications
++
HK$
$34,300.00
1981
HK$
$ 500 Life Memberships
+
$ 3,920.00
3,374
+ +
+
Activity Expenses (Annual General Meeting, Dinner, Symposium and Outings)
19,497 Annual Memberships
+
20,547.20
4,218,50
12,679 Sales of Publications..
·
14,383,74
7,800 Secretarial Assistance
8,400.00
2,188 Purchase of Books
+
++
2,308.00
2,585 Receipts from Members for Activities
19,191 Bank Interest Received
3,130.00
21,384.03
6,043
Sundry Expenses (Printing, Stationery,
Postage, etc.)
10,035.80
3,510 Dividends Received
200 Donation Received
י
4,146.90
200,00
3,500
Annual Subscription to Hong Kong
Arts Centre
+
4,200.00
81 Sundry Receipts
117,20
3,000
Rent for Library in Hong Kong
Arts Centre
Tours: Amount received
2,412.00
from members $2,850.00
Purchase of Equipment
+
+ I
5,792.20
Amount paid out
2,000,00
850,00
$67,240
8,997
$71,666.50
$67,240
Balance being Deficit of Expenditure over Income transferred to Accu- mulated Funds
J
2,987.43
$71,666.50
No comments yet.
Private notes are available after approval.