General Conference Bulletin, vol. 3
FINANCIAL STATEMENT OF THE GENERAL CONFERENCE
L. A. HOOPES
CASH STATEMENT FOR FIRST SIX MONTHS OF 1899
Cash on hand Jan. 1, 1899, | $ 55 33 | |
Cash received from all sources, | 50,374 99 | |
Total, | $50,430 32 | |
Cash paid to laborers, | $50,275 47 | |
Cash on hand June 30, 1899, | 154 85 | |
Total, | $50,430 32 |
TITHE FUND
Credit balance Jan. 1, 1899, | $42,084 92 | |
Tithe from conferences and individuals, | 43,244 91 | |
Total, | $85,329 83 | |
1898 audit including a few settlements on 1899 account, | $76,094 54 | |
Balance to credit of tithe fund June 30, 1899, | 9,235 29 | |
Total, | $85,329 83 | |
Due laborers on basis of 1898 audit, | $36,685 44 | |
Paid to laborers on 1899 account, | 20,802 28 | |
Due laborers June 30, 1899, on basis of 1898 audit, | $15,883 16 |