CHELSEA COMMITTEE.] Balance Sheet for the Year ending September 30th, 1884. Of the grants, £64. 14s. were procured by, and £63. 188. 11d. were given from, the General Fund of the Committee. £ S. d. £ S. d. ST. GEORGE'S (HANOVER SQUARE) COMMITTEE.] GENERAL FUND. DR. Statement of Receipts and Expenditure from October 1, 1883, to September 30, 1884. RECEIPTS. PAYMENTS. CR. 165 8 6 Fuel and Light Postage and Telegrams Expenses of Meeting Stationery and Office Books 27 12 5 Printing 42 0 10 Travelling 1 14 6 Incidental Expenses, including Insurances 1 5 10 Total Office Expenses 632 19 4 Transfers to Relief Account Total Amount of the Fund is £34. 15. Balance of Unpaid Loans on September 30, 1883, was £19. 11s. 6d. Statement of Receipts and Expenditure from October 1, 1883, to September 30, 1884. DR. 40 0 Transfer to Central Office for Special Bed 25 0 0 Subscription to All Saints' Convalescent From Private Persons Contributions for Convalescent Cases only Grants refunded Rent of Mangles, Sewing Machines 270 Purchase of Laundry Utensils Repayable Grants CR. 8. d. 42 6 11 779 13 7 1 0 0 13 0 0 0 11 8 From October 1st, 1883, to September 30th, 1884. Submitted by R. RUTHVEN Prм, Treasurer. Postage and Telegrams Stationery and Office Books Printing Incidental Expenses Aid by Grants 4 422 18 37 12 0 by Loans by Sewing Machines, &c. 12 1 3 J. B. HOWELL, Auditor. 11 19 0 10 13 7 1 1 10 3 15 5 472 11 7 £658 14 3 |