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Show i FINANCIAL REPORT Annual financial teport of the M. Pleasant School Board for the yea ending June 30th, 1915. To Bal. on Hand July 1, '14 $ 602 DEBITS To Balance on Hand July 1st, 1915 $ 6 02.7, To District Taxes 13,539.10 Co State Apportionment . 5,176.32 To County School Fund . 1.5S6.0i .'rom All Other Sources . . 121.4." Total $20,975.71 CREDITS By Payment to Teachers Male $3.S20.0i ;y Payment To Teachers Female 5.545.0i !.1y Supplies 545.4." By Furnishings and Appar- Mis 15 7. 9 1 By Library Books 7 9.3 By Text Books 128.01' By Repairs and Improvements S'..4 By Current Expenses .... 7 37.74 By Compensation of Trustees for two years 525.00 By Tayment of Janitors . . 654. Oi By Payment of Interest on Bonds 1.71 '0 By Rent of Buildings 35.00 By Transportation 5 7 1.5' By Collecting of Taxes . . . 69. 0 By Interest Oil Floating Debt 523.0.' By Amount Paid on Floating Debt 4.996.3' Total $20,975.7 Bonded Indebtedness July 1. 1915 $ 34,1 53.0 .Floating Indebtedness July 1, j 1915 4.731.51 |