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BALANCE-SHEET ("WHITE RIBBON").

For Year ending December Hist, 192 i. IN(X>MR.

NELLIE PERYMAN. Business Manager. Audited, and found correct, — birger ijYNNkberg, r.a Nguio, April 24, 1928.

£ 8. d Credit Balance, 31/12/26 .... 62 11 8 Subs, and Sabs for 1027 .... 508 18 2 Union Advts. for 1027 — 57 10 0 Trade Advts. for 1027 6 0 0 Clrant for Telephone 5 0 ft £729 19 10 EXPENDITURE. £ 8. J. Printing and Publishing for 1927 — — — 482 16 4 Postages — — — 144 12 8 Telephone Charges 7 0 0 Travelling Expenses 1 18 11 Blocks — — — 9 4 4 Wrappers — — — 16 5 6 Stationery — — — 8 6 3 Salary, Business Manager — 20 0 0 Clerical Assistance — — 26 0 ft Bank Charges — — 0 14 0 Prizes — — — o 2 0 Grant to Exhibition — ft 10 ft Credit Balance. 31/12/27 .... 10 9 9 £729 19 10

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Permanent link to this item

https://paperspast.natlib.govt.nz/periodicals/WHIRIB19280518.2.6

Bibliographic details

White Ribbon, Volume 33, Issue 394, 18 May 1928, Page 4

Word Count
137

BALANCE-SHEET ("WHITE RIBBON"). White Ribbon, Volume 33, Issue 394, 18 May 1928, Page 4

BALANCE-SHEET ("WHITE RIBBON"). White Ribbon, Volume 33, Issue 394, 18 May 1928, Page 4