Annual Report, Volume 88Printed at the Republican office, 1942 |
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Página 146
... Advance by General Fund ( net ) . Surplus Permanent Fund * Notes Receivable acquired in sale of Real Property , secured by mort- gages on property sold . Investments are carried on the books at cost or par whichever is lower . Valuation ...
... Advance by General Fund ( net ) . Surplus Permanent Fund * Notes Receivable acquired in sale of Real Property , secured by mort- gages on property sold . Investments are carried on the books at cost or par whichever is lower . Valuation ...
Página 150
... Advance to National Defense Training Fund- Balance at July 1 , 1941- Advance by General Fund .... Building Expense charged to Fund .. 15,000.00 10,000.83 25,000.83 Additional advance made by General Fund ... 20,000.00 45,000.83 ...
... Advance to National Defense Training Fund- Balance at July 1 , 1941- Advance by General Fund .... Building Expense charged to Fund .. 15,000.00 10,000.83 25,000.83 Additional advance made by General Fund ... 20,000.00 45,000.83 ...
Página 157
... Advance by General Fund ..... 1,811.32 25.00 20,000.00 325,645.33 $ 346,793.52 Reimbursement of General Fund for Custodial and Electric Service ... $ 12,452.39 Salaries of Instructors , Clerks ( less refunds ) .. Supplies and Materials ...
... Advance by General Fund ..... 1,811.32 25.00 20,000.00 325,645.33 $ 346,793.52 Reimbursement of General Fund for Custodial and Electric Service ... $ 12,452.39 Salaries of Instructors , Clerks ( less refunds ) .. Supplies and Materials ...
Conteúdo
Annual Report of the President | 11 |
Annual Report of the Secretary and Treasurer | 73 |
Annual Report of the Commissioner of School Buildings | 97 |
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Accounts Activities Administration Building Advance Air Washer Steam Amount Army Arts Assets Attendance Auxiliary Balance Bills Blewett Board of Education Bonds Boys Building Cash Centers Charges City Class Clerks Colored Company Contract Cost Current Custodians Defects Defense Department Deposit Direct Distribution Division Education Electric Elementary Schools ENDING Enroll Equipment Expenditures Expenses FISCAL Fixed Fund Furniture Girls Grade Grand Total Hadley half Heating Heating & Ventilating High School Improvements included Income Instructional Insurance July June 30 Less Library Light Louis Lunch Room Maintenance Materials Mechanics Miscellaneous Number Office Operating Outlays Payments Permanent Fund Personal Playgrounds Plumbing Power Principals Printing Property Pupil purchased Real Property Receipts Receivable Refund Regular Term Repairs Salaries Sales Science Second Securities Services Sites Special School Statement Stocks Summer Sundry Superintendent Supplies Surplus Table Teachers Teachers College Technical Telephone Term Text Books Training transferred Transportation treasury Value Warehouse Washer Steam Plenum Water White Women