Annual Report - 1929
.r
REPORT OJ!' BOARD OF DIRECTOR3
OF
THE SALINA FREE PUBLIC LIBRARY.
"
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f
TO THE MAYOR AND COMMISSIONERS OF THE CITY OF SALINA FOR THE YEAR, 1929:
Balance in Library Fund .Tan. 1,1929
Received from taxes .Tan. 2, 1929
" " " Feb. 5, 1929
" " " .Aug. 15, "
It " " Dec. 17, "
- Overdraft
:j¡;694 0 60
;~2, 500.00
4,200.00
5,600.00
1,070.'79
Warrants drawn Nos. 6947 to 7274 inclusive
Transferred to Building Account
Balance on hand Dec. 31, 1929
~-
.¡p13,370.79
11149.26
406.06
1120.87
$13, 3~0. r¡g
The expenditures for the yearßare classified as follows:
./
.Tanitor Service
Fuel
Light & Water
Librarians
Books
Periodicals
Binding
Unclassií'ied
Discrepancy
$900.00
313.65
234.71
5,677.50
1,928.29
338.24
230.10
1,525.92
.85
$11,149.26
The report filed í'or 1928 is found to be incorrect, the starting point
being evidently wrong. In this present report we are starting wi th over-
draft of $694.60 which is the actual overdraft in the bank account
.Tan. 1, 1929 plus the outstanding unpaid warrants.
We have not
reports. This
The discrepar:cy
been able to ge t the time to check out and reconcile the two
will be done later and a corrected report will be filed.
in the account is about $300.00.
J:' M'If~e{f-
Ø4Pf4J, 11l~~~/
Secretary, .
Salina, Kansas.
Aug. 8, 1950.
There is also a fund in the hands of the Secretary, amounting to $2260.81
consisting of ~2000.00 in 4th Liberty Loan Bonds, and cash. This is a
remainder from the .Tennie V. Bartlett gift, $1184.00 of W1ich went into
the remodeling of the building. This is held as a reserve fund for
emergencies.
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