General Conference Bulletin, vol. 4

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RECEIPTS AND DISBURSEMENTS FOR THE YEAR 1899

Cash on hand Jan. 1, 1899$ 316 28
Deposit at Tenth Nat. Bank1,014 32
Deposit at P. Wright & Sons725 42
Deposit at Pacific Press10,976 93
Received in Donations61,267 67
 Total$74,300 62
Paid to Missions for wages and expenses$67,432 47
Balance—
Pacific Press662 85
 Nat. Park Bank5,771 28
 Cash434 02
 Total$74,300 62
 Balance Jan. 1, 1900$ 6,868 15