FINANCIAL STATEMENT OF THE INTERNATIONAL TRACT SOCIETY, LIMITED, LONDON
L T NICOLA
Year ending June 30, 1895.
RESOURCES
No Authorcode
Accounts receivable | $ 28,067 26 |
Book department | 19,627 42 |
Health book department | 7,580 09 |
Manufacturing department | 390 49 |
Machinery department | 2,380 64 |
Machinery expense | 41 15 |
Furniture and fixtures | 973 03 |
Type and material | 1,033 39 |
General expense | 182 44 |
Lease | 681 80 |
Improvements | 876 60 |
Fuel | 3 92 |
Insurance | 120 17 |
Postage | 6 62 |
City Office | 1,554 82 |
Bank deposit account | 19,480 00 |
“Present Truth” | 146 63 |
Editorial library | 314 46 |
Cuts, plates, etc | 2,472 96 |
Cash balance | 94 37 |
Total | $86,028 26 |
LIABILITIES
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General Conference Association | $62,986 57 |
Share capital account | 5,079 41 |
Accounts payable | 11,168 14 |
Bills payable | 4,987 61 |
Bank current account | 1,193 07 |
Net gain for twelve months to June 30, 1895 | 613 46 |
Total | $86,028 26 |
LOSS
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Machinery | $ 256 74 |
Machinery expense | 73 71 |
Furniture and fixtures | 135 04 |
Type and material | 148 87 |
General expense | 1,908 63 |
Lease | 115 01 |
Improvements | 167 57 |
Law costs | 86 32 |
Rent, rates and taxes | 587 57 |
Fuel | 41 42 |
Gas | 24 61 |
Insurance | 126 38 |
Postage | 137 46 |
City office | 818 63 |
Advertising | 53 95 |
“Present Truth” | 3,424 79 |
Editorial library | 34 88 |
Bad and doubtful accounts | 230 07 |
Cuts, plates, etc | 327 42 |
Registration | 401 62 |
Balance net gain | 613 46 |
Total | $ 9,714 15 |
GAIN
No Authorcode
Book department | $ 6,078 65 |
Health book department | 2,568 72 |
Manufacturing department | 646 44 |
Interest and discount | 282 73 |
Commission | 137 61 |
Total | $ 9,714 15 |