Annual Report, Volume 90Printed at the Republican office, 1944 |
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Página 181
... Amount of Materials transferred to Shops . Amount of Materials charged to Other Funds . Distribution of Materials as Expense ... Distribution of Materials Distributed to Improvements and Equip- ment in Process ... Sales of Obsolete Text ...
... Amount of Materials transferred to Shops . Amount of Materials charged to Other Funds . Distribution of Materials as Expense ... Distribution of Materials Distributed to Improvements and Equip- ment in Process ... Sales of Obsolete Text ...
Página 182
... Amount of Stores in Shops at June 30 , 1944 . Inventory , Equipment- ( Floating ) — Amount on hand at July 1 , 1943 .. 33,541.47 75.48 36,047.37 44,933.14 1,093.44 46,026.58 Amount purchased and received from Other Funds during the year ...
... Amount of Stores in Shops at June 30 , 1944 . Inventory , Equipment- ( Floating ) — Amount on hand at July 1 , 1943 .. 33,541.47 75.48 36,047.37 44,933.14 1,093.44 46,026.58 Amount purchased and received from Other Funds during the year ...
Página 187
... Amount transferred to Coupon Account of Depository to meet interest due on August 1 , 1943 , and February 1 , 1944 ... Amount of Current Tax Collections ... 1,506.57 99,935.92 Amount of Delinquent Tax Collections . 10,050.96 113,920.39 ...
... Amount transferred to Coupon Account of Depository to meet interest due on August 1 , 1943 , and February 1 , 1944 ... Amount of Current Tax Collections ... 1,506.57 99,935.92 Amount of Delinquent Tax Collections . 10,050.96 113,920.39 ...
Conteúdo
Annual Report of the President | 13 |
Annual Report of the Superintendent of Instruction | 19 |
Annual Report of the Secretary and Treasurer | 113 |
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Accounts Activities Administration Adult Advance Amount Appointed Army Arts Assistant Attendance Auxiliary Average Balance Bills Blewett Board of Education Bonds Building Cash Centers Charges Child City Class Clerks Cleveland Company Contract Cost Current Daily December Department deposit Distribution Division Electric Elementary Schools ending Enroll Equipment Expenditures Expenses FISCAL Fund Furnish and install Furniture Grade Grade Grade Hadley half Heating Heating & Ventilating High School Includes Income Instructional Insurance July June 30 Library Loss Louis Lunch Room Maintenance Materials Mechanics ment Milk Miscellaneous Music Navy Negro Number Office Operating Payments Permanent Playgrounds Plumbing Power Principals Printing Property Public School Pupils purchased reading Real Receipts Receivable Refund Regular Reimbursement Repairs retirement Salaries Sales Science Second Securities Services Special School Statement Stock stoker Summer Sundry Superintendent Supplies TABLE Teachers College Technical High School Telephone Term Text Books Training treasury Value Wages Warehouse White