General Conference Bulletin, vol. 4
CONDENSED FINANCIAL STATEMENT OF THE INTERNATIONAL TRACT SOCIETY, FOR THE TWO YEARS ENDING DEC. 31, 1900
Resources
Pamphlets and Tracts | $ 1,093 34 |
Office fixtures | 500 00 |
Bank Deposit | 1,713 11 |
Cash on hand | 182 19 |
Accounts Receivable | 1,840 08 |
5,328 72 |
Liabilities
Accounts Payable | $ 3,699 76 |
Present Worth | 1,628 96 |
5,328 72 |
Loss
Office fixtures | $ 519 59 |
Labor and Wages | 32 96 |
Hints to Librarians | 52 78 |
Expense | 1,146 54 |
Free Distribution | 3,553 84 |
5,305 71 |
Gain
Books and Pamphlets | $ 143 77 |
Periodicals | 18 88 |
Annual Dues | 4 00 |
Donations | 3,338 35 |
Net Loss | 1,800 71 |
5,305 71 |