1»
Board Rooms, Thursday,
June 15, 1933.
The Board met at 4 P. M. in the Board Rooms
with the President in the chair.
The meeting was opened with prayer by Brother
Slaughter.
The following were present: Jenkins, Mrs. Thomas,
Mrs, Atkinson, Miss Foster, Mrs. Y/icker, Montague,
Slaughter, Dr. Loving, Matthews, Coleman, Williams,
Gwathmey, Harris. Also Secretaries Maddry and Ray and
Treasurer Buxton.
On motion, Brethren H. M. Fugate, S. J. Porter,
Walter Binns, were added to the Committee to deal with
the Shanghai University matter.
See. Maddry reported the results of several trips
in the interest of the Board.
The Treasurer reported as follows:
MOUTH OF MAY, 1933
Cash in Banks and in Transit May 1,1933..
RECEIPTS:
Cooperative Program . 3,838.16
Designated Gifts . 3,579.53
Lottie Moon Christmas Offering ... 2, 855.57
Debt (Net) . 2,719.80
Legacies: S.C.$ 46.87
Okla. 41.84 . 88.71
Book Department — Sales & Collections) 262.71
Income from Annuity Securities . 800.88
Income from Endowment Securities.. 117.23
Income from Trust Funds . 153.12
Miscellaneous Income . 94.04
Annuities . . . 3,112.91
Aijnuity Securities . 4,000.00
Endowment Fund Securities . . 1,000.00
#138,789.16
22,622.06
?Г61,411.22
DISBURSEMENTS:
Foreign Fields . 54,555.60
Interest on Borrowed Money . 9,357.07
Y/oman*s Missionary Union . 1,900.00
Baptist Brotherhood of the South • 300.00
Interest on Annuities . 1,998.29
Book Dept. — Purchases 155.98
Expenses 248.61 .... 404.59
All Other Expenses . 2,898.18
Special Deposits: Investment Funds . 9,605.23
Notes Payable . 4,500.00
PLUS:
Adjustment in amount of funds to be invested
" " " " ■
я
" applied
on Debt
LESS:
Adjustment in amount of Lottie Moon Funds
85,518.96
75,892.26
1,492.32
1,974.64
77lffS.9'6
to be distributed . 2,810.98
TF5.98
Balance in Banks May 31, 1933 . $ 76,548.24