EXTRACTS FROM THE REPORT OF THE FINANCE COMMITTEE TO THE COUNCIL. Statement of Finances, December 31, 1896. DR. The Treasurer and Trustees charge themselves with the following: Receipts: Interest on Investments Disbursements: Paid to Treasurer of General Fund Publication Fund. Receipts: Cash on hand, January 1, 1896 Interest and Rents Subscriptions to Magazine, Sales, etc. 619 00 $5,137 95 2,573 17 $2,564 78 ANNUAL STATEMENT OF THE TRUSTEES OF THE GILPIN LIBRARY OF THE HISTORICAL SOCIETY OF PENNSYLVANIA FOR Capital. Cash Balance on hand, January 1, 1894 Cash received, Philadelphia City Loan paid off. $5,100 00 $1,411 65 Hutchinson 2,000 00 7,100 00 |