Seventeenth annual report of the New York Asylum for Idiots : transmitted to the Legislature, January 19, 1868 / New York State Asylum for Idiots.
- New York State Asylum for Idiots
- Date:
- 1868
Licence: Public Domain Mark
Credit: Seventeenth annual report of the New York Asylum for Idiots : transmitted to the Legislature, January 19, 1868 / New York State Asylum for Idiots. Source: Wellcome Collection.
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![Freight and express _....... Printing -- — - - -. - _..- - - - - - - • Postage..—-— -- Insurance-.... -.. Bank loan and interest . ..... Traveling expenses of trustees.. Traveling expenses of Superintendent- Expenses sending children home (refunded) Water rates.— . —--- Sundry miscellaneous expenditures...- Cash in Superintendent’s hands...... .... Overdraft at bank, October 1st, 1866. ..... Total expenditures...... $37,655 82 [The articles included under the head of provisions and sup¬ plies are classified on the books of the Asylum under twenty-eight heads; and the amount of expenditure under each head is there given for each month in the year.] From the above statement it appears there is now a cash deficit due the bank of.... — $3,249 35 There was also due as of that date : Salaries of officers and teachers for quar¬ ter, . „ ~ _.— —............. $1,100 00 Wages of attendants and servants.._ 436 50 Bills for supplies of various kinds.____ 1,087 92 Gas bill.--...104 25 Sundry small bills . —.. ....— ..... 160 64 -- 2,889 31 $6,138 66 Cash assets of Asylum, Oct 1st, 1867 : Due from individuals for board, instruc¬ tion, &c__— .— ..$2,682 95 Due from individuals for clothing.... 260 00 Due from counties... 160 00 Sundry small accounts .... ... 68 00 Total cash assets ___^... 3,170 95 Deducting this amount from the amount of indebted- O ness, we have an actual cash deficit... $41 37 18 84 53 20 120 00 1,772 45 41 00 62 07 148 17 500 00 107 76 89 88 2,081 29 $2,967 71](https://iiif.wellcomecollection.org/image/b30317897_0006.jp2/full/800%2C/0/default.jpg)


