Report of the Finance Committee of the General Society of Mechanics and Tradesmen of the City of New-York (1869)

([New-York :  The Society,  --1872] ;)

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APPENDIX.
 

abstracts eeom tee annual eepoets of a-HE teeastjree and the

SEVERAL standing COMMITTEES, JANUAET 1, 1869.

From Annual Report of the Treasurer.

Eent, 289 Broadway,............................. $12,500 00

"      12 Chambers-street,.......................     2',000 00

"      Mechanics' Hall, 472 Broadway,.............     1,000 00

Dividends Bank Stock,............................      2,027 50

Interest on United States Securities,...............     2,580 00

Premium on Gold,...............................      1,018 47

Initiation Fees,..................................      1,000 00

For Certificates,..................................         15 00

Donation of Richard O'Gorman, Esq.,...............        100 00

"      "                      "                            ...............           5 00

Bequest of Peter LorUlard, Esq.,...................     5,000 00

Award of Insurance Companies,...................     5,500 00

-----------   $83,745 97

Paid Finance Committee,.........................    $3,500 00

■'''   "   Pension Committee,.........................     7,025 00

"   School Committee,...........................        7.50 00

"   Library Committee,..........................    10,000 00

"   Literary and Scientific Committee,............     1,600 00

"   Bent, 12 Chambers-street,....................        125 00

"   Taxes, Assessments and Water Rent,..........     2,357 15

"   Interest on De Milt Fund,....................        800 00

"   Officers' Salaries,............................     1,067 50

"   Books and Stamps,..........................         15 73

"   Lorillard Bequest,...........................     2,.500 00

"   Metropolitan Fire Department,................        250 00

-----------$29,490 38

Old Balance,........................?...    $775 97

Eeceipts,..............................82,745 97

$33,521 94
Expenditures,.........................    29,490 38

Balance,..............................   $4,031 56
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