Loading...
Larger font
Smaller font
Copy
Print
Contents
General Conference Bulletin, vol. 4 - Contents
  • Results
  • Related
  • Featured
No results found for: "".
  • Weighted Relevancy
  • Content Sequence
  • Relevancy
  • Earliest First
  • Latest First
    Larger font
    Smaller font
    Copy
    Print
    Contents

    RECEIPTS AND DISBURSEMENTS FOR THE YEAR 1899

    Cash on hand Jan. 1, 1899 $ 316 28 Deposit at Tenth Nat. Bank 1,014 32 Deposit at P. Wright & Sons 725 42 Deposit at Pacific Press 10,976 93 Received in Donations 61,267 67  Total $74,300 62 Paid to Missions for wages and expenses $67,432 47 Balance— Pacific Press 662 85  Nat. Park Bank 5,771 28  Cash 434 02  Total $74,300 62  Balance Jan. 1, 1900 $ 6,868 15

    Larger font
    Smaller font
    Copy
    Print
    Contents