NOTE. The outside columns of the above Statement are the cash receipts and been made by transfers between the different departments, in settlement one disbursements; the inside columns are the same, after the necessary payments have with the other, so as to show the complete working and net result of each. We have examined and verified the foregoing account and certify that it is correct. Each and every entry of payment of money has been compared by us with the warrant of the Finance Committee and corresponds therewith. Balance of cash carried to new year, $10,441 58. FREDERICK STURGES, } Auditing Committee. BIBLE HOUSE, NEW YORK, April 30th, 1893. |