General Conference Bulletin, vol. 4
REPORT OF TREASURER OF GENERAL CONFERENCE OF SEVENTH-DAY ADVENTISTS FOR TWO YEARS ENDING DEC. 31, 1900
Receipts
| Cash on hand, Jan. 1, 1899 | $ 55 33 | 
| Due Gen. Conf. from G. C. A. Jan. 1, 1899 | 2,533 62 | 
| Tithes and Donations received during 1899 | 77,228 26 | 
| Tithes and Donations received during 1900 | 75,020 12 | 
| Received on Deposit during 1899 and 1900 | 3,600 00 | 
| Overdraft on G. C. A. Dec. 31, 1900 | 11,188 76 | 
| Overdraft on R. and H. Dec. 31, 1900 | 2,289 52 | 
| $171,915 61 | 
Expenditures
| Overdraft on R. and H. Jan. 1, 1899 | $4,077 11 | 
| Paid laborers and expense during 1899 | 80,711 27 | 
| Paid Int. M. M. and B. Assn. during 1899 | 4,916 82 | 
| Paid laborers and expense during 1900 | 77,271 26 | 
| Paid Int. M. M. and B. Assn. during 1900 | 4,906 22 | 
| Cash on hand Dec. 31, 1900 | 32 93 | 
| $171,915 61 | 
| Net overdraft Jan. 1, 1899 | $ 1,488 16 | |
| Net overdraft Dec. 31, 1900 | 13,445 25 | |
| Amount due depositors Dec. 31, 1900 | 3,600 00 | |
| Showing an excess of expenditures during the two years over the receipts of tithes and donations of | 15,557 09 | |
| $17,045 25 | $17,045 25 |