General Conference Bulletin, vol. 4

96/458

RECEIPTS AND DISBURSEMENTS FOR THE YEAR 1900

W. H. EDWARDS

Cash on hand Jan. 1, 1900$ 434 02
Deposit at Nat. Park Bank5,771 28
Deposit at Pacific Press662 85
Received in Donations89,740 78
 Total$96,608 93
Paid to Missions for wages
and expenses
81,014 45
Balance—
 Pacific Press5,793 94
 Nat. Park Bank9,030 37
 Cash770 17
 Total$96,608 93
 Balance Jan. 1, 1901$15,594 48

W. H. EDWARDS, Treasurer
Foreign Mission Board,
New York, N. Y.
NEW YORK CITY, March 11, 1901.

To the Foreign Mission Board of Seventh-day Adventists. GCB April 7, 1901, page 98.1

GENTLEMEN: Having compared the invoices and vouchers with your account books, and thoroughly examined the same, I am pleased to state that I found them correct and in good order. GCB April 7, 1901, page 98.2

Respectfully, GCB April 7, 1901, page 98.3

FRANK WHITGROVE, Auditor. GCB April 7, 1901, page 98.4

At 4:45 P. M. Elder Olsen suggested that as this was a short day, and the Sabbath was drawing near, it would be well to adjourn; on which the motion prevailed to adjourn until Sunday morning at 10:30. GCB April 7, 1901, page 98.5

O. A. OLSEN, Chairman.
L. A. HOOPES, Secretary.