Go to full page →

REPORT OF TREASURER OF GENERAL CONFERENCE OF SEVENTH-DAY ADVENTISTS FOR TWO YEARS ENDING DEC. 31, 1900 GCB April 9, 1901, page 137

Receipts GCB April 9, 1901, page 137

No Authorcode

GCB April 9, 1901, page 137
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 GCB April 9, 1901, page 137

No Authorcode

GCB April 9, 1901, page 137
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
GCB April 9, 1901, page 138
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