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REPORT OF THE COMPTROLLER OF THE TREASURY
STATEMENT OF THE MARYLAND WORKSHOP FOR THE BLIND.
Showing Receipts and Expenditures of the Maryland Workshop for the Blind
for the Fiscal Year Ended September 30th, 1916.
RECEIPTS— (Actual Cash).
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1916.
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Oct. 1, Cash Balance on hand .................
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$102 87
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Received from State of Maryland during
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Fiscal Year October 1, 1915, to Sep-
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tember 30, 1916 ....................
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15,000 00
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From all other sources, to wit:
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Appropriation from Baltimore City......
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5,000 00
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Legacies .............................
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897 64
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Receipts from work ..................
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15,021 02
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Appropriation due us from year of
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Oct. 1, 1914, to Oct. 1, 1915..........
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7,500 00
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$43,521 53
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EXPENDITURES.
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1916. Note that we owed from year 1914-1915
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$2,500 00
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Sept. 30th, Amounts paid for salaries and wages —
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administration and
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workmen ........
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23,820 13
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" " fuel and lights .......
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639 14
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" " " food, staple expense,
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coffee and ice ....
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123 37
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" " hospital expense......
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14 45
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" office expense........
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347 90
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" " " traveling, advertising
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and exhibiting ......
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176 99
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" " " furnishings .........
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254 16
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" " " fire insurance .......
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33 00
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" repairs on buildings..
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988 04
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" " " telephone service . . .
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194 68
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" " raw material .......
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7,777 34
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" " " discount (notes) ....
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362 66
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" miscellaneous ........
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838 47
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Cash Balance on hand, including legacies
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of $1,847 64 ........................
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5,451 20
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$43,521 53
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Average population for the year, 90.
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