September..30 By balance (overdraft on A. E. Ayers, treasurer) By indebtedness incurred on account of- Improvements and repairs. For work done by contract. cement lime. sand.. $505 00 6.72 21 761 8666 18.75 192 501 $6,000 00 227 37 $155 82 $1,678 85 4, 165 38 FINANCIAL STATEMENT Of the Receipts and Expenditures of the Institution for the Education of the Deaf and Dumb, for the fiscal year, from October 1, 1877, to September 30, 1878. ORDINARY EXPENSE FUND. Dr. 1877. October.. 1 To balance $9,595 38 October .30 To appropriation for quarter ending December 31.. 19,250 00 1878. Expenses not classified September 30. By balance (in hands of A. E. Ayers, treasurer) $2.172 09 2.586 63 16,800 85 4,274 91 1.728 66 535 76 3,916 90 1,98096 405 32 30.378.89 8.288 69 1,360 52 9.10 136 30 1.991 49 234 48 2.599 49 1.269 2 503 29 ST0 51 33.00 2,136 12 3,26 30 121 65 |