Statement of Financial Operations
To Sept. 15, Budget DISBURSEMENTS Band $ 300.00 $ 300.00 Banquet and Smoker 495-15 625.00 Class Day 133-26 150.00 Printing and Engraving 613.04 625.00 Commencement Ball 806.25 1,075.00 Class Movies 215.58 300.00 Caps and Gowns 633-75 650.00 Alumni Magazine 3>!43-75 3,250.00 Secretary's Fund 56.13 600.00 Treasurer's Fund 133-3° 150.00 Miscellaneous 18.70 60.00 Class Gift Receipts from Commencement Ball $ 4!-50 Remainder from Class Fund 158-50 200.00 200.00 Total Disbursements $6,748.91 $7,985.00 RECEIPTS Income from dues 57.897.75 Freshman Dues 231.17 Commencement Ball 4'-5° 7 Total Receipts $8,170.42 Total Disbursements 6,748.91 Balance in Dartmouth National Bank $1,421.51* * Includes funds for use of Class Secretary for five year period.
Respectfully submitted, HERBERT MATTLAGE, Treasurer
NOTE: Transactions to June 15,1939 carried on books of Council on Student Organizations and audited by Chandler H. Foster and the Bursar's Office. Transactions between June 15, 1939 and September 15, 1939, handled by class treasurer and not yetaudited.