1
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Board Rooms, Friday, Mar. 10, 3.933
The Board met at 4 P. M. with the President in
the chair*
The meeting was opened with prayer
Ъу
Brother
Cousins.
The following were present: Mrs. Thomas, Mrs. At¬
kinson, Mrs. Moore, Mrs. Wicker, Cousins, Montague,
Dr. Loving, Matthews, Coleman, Bryant, Gwathmey, Jenkins,
Harris. Also Secretaries Maddry and Ray and Treasurer
Buxton.
Secretary Maddry reported on his recent trip
in various states and on other matters of interest to the
Board.
The Treasurer reported as follows:
MOUTH OF FEBRUARY, 1933.
Cash in Banks February 1, 1933 . $129,513.53
RECEIPTS:
Cooperative Program . 12,689.63
Designated Gifts . 8,937.14
Lottie Moon Christmas Offering . 38,416.34
Debt . 3,127.29
Income from Annuity Securities . 911.96
Income from Endowment Securities . 267.50
Miscellaneous Income . 767.74
Book Dept.:- Sales and Collections . 397.49
Annuities . 5,000.00
Annuity Securities . 3,000.00 73,515.09
Total to account for . v 203,028.62
DISBURSEMENTS:
Foreign Fields .
Interest on Bori'owed Money .
Woman's Missionary Union .
Baptist Brotherhood of the South ..
Interest on Annuities .
Book Dept.:- Purchases ... 120.67
Expenses . .. 255.25..
Annuity Securities .
Printing and Stationery .
Office Equipment .
All Other Expenses .
PLUS: Decrease in Investment Funds
LESS:
38,171.20
7,739.14
1,900.00
300.00
2,316.18
375.92
10,183.75
410.10
461.10
2,911.22 64,768.61
- 138,260.01
2,183.75
Increase in Lottie Moon Funds (Received)
for special objects . .'...24,056.44
Increase in funds for Debt reduction.... 5,127.29 27,183.73
Balance February 28, 1933, available for Budget. $113, 260.03
CURRENT ASSETS AND LIABILITIES
ASSETS:
Cash in Banks . 113,260*03
Book Dept.:-A/c's Rec... 329,65
Inventory ... 10,127.90 . 10,457.55
Estate of John Sillers . 1,285.36
Estate of J. H. Pepper . 357.00
Stocks and Bonds . 610.00
Richmond (Va. ) Real Estate . . 16,500.00 142,469.94
Current Liabilities in Excess of Current Assets 1,011,758.72
$ 1,154,228.66