OCR Text |
Show Statement of Mount Pleasant Chapter American Rel Cross From .July 10, 1017 to July 10, 1018. Postage, Stationery, etc. $ 14.45 Telephone, telegraph, etc. .90 Inl5igna -50 Miscellaneous expense 20.57 Total expenditures Military Relief 1609.91 Memberships and Magazines remitted Washington 644.00 Other accounts with Washington 2 9.70 Total $2328.03 Annual dues applicable general fund 655.00 Com. Magazines 1-50 Total reciepts, donations, benefits, etc., all branches 1344.12 Membership dues due Washington 6C2.50 OtheT accounts with Washington 29.70 Total S ?26T2.82 Less "28.03 July 1. Balance on Hand 364-7 Collected since July 1 303.23 Cash on hand $668.02 Invoices, yarn and Refugee garments sJnce July 1 J!,flS' Less cash on hand 608.0., July 19, Bal. Indebtedness $328.33 HILDA MADSEN, Treasurer. |