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Perkins Institution And Massachusetts School For The Blind, One Hundred And Fifteenth Annual Report, 1946

Creator: n/a
Date: 1946
Source: Perkins School for the Blind

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Page 24:

467  

General funds (principal and income for general purposes) -- concluded

468  

George M. Whidden Porter $ 20,700.48
Sarah E. Pratt 2,988.34
Sarah S. Pratt 5,000.00
Francis I. Proctor 10,000.00
Grace E. Reed 5,054.25
Carrie P. Reid 679.51
Leonard H. Rhodes 1,012.77
Mabelle H. Rice 3,750.00
Matilda B. Richardson 300.00
William L. Richardson 50,000.00
Anne Augusta Robinson 212.20
Julia M. Roby 500.00
Robert Rodgers 100.00
John Roome 3,621.48
Barbara S. Ross 2,740.35
Henrietta Goodrich Rothwell 500.00
Mary L. Ruggles 3,000.00
Elizabeth H. Russell 500.00
Marian Russell 5,000.00
Nancy E. Rust 0,640.00
Emily E. St. John 5,015.00
Joseph Schofield 2,500.00
Sarah E. Seabury 3,116.01
Edward O. Seccomb 1,000.00
Richard Black Sewell 25,000.00
Charles F. Sherman 2,000.00
Robert F. Shurtleff 1,430.94
Carrie Etta Silloway 5,429.88
John Simonds 50.00
Arthur A. Smith 10,000.00
Ellen V. Smith 25,000.00
Esther W. Smith 5,000.00
Sarah F. Smith. 3,000.00
The Maria Spear Bequest for the Blind 15,000.00
Henry F. Spencer 1,000.00
Charlotte S. Sprague 13,222.56
Adella E. Stannard 1,631.78
Cora N. T. Stearns 53,558.50
Henry A. Stickney 2,410.00
Lucretia J. Stoehr 2,967.26
Joseph C. Storey 122,531.58
Edward C. Sullivan 2,000.00
Sophronia S. Sunbury 365.19
Emma B. Swasey $ 2,250.00
Mary F. Swift 1,391.00
William Taylor 893.36
Mabel E. Thompson 8,187.23
Joanna C. Thompson 1,000.00
William Timlin 7,800.00
Alice W. Torrey 71,560.00
Evelyn Wyman Towle 5,800 00
Stephen G. Train 20,000.00
Sarah E. Trott 2,885.86
Mary Wilson Tucker 481.11
George B. Upton 10,000.00
Maude C. Valentine 1,880.04
Charles A. Vialle 1,990.00
Abbie T. Vose 1,000.00
Nancie S. Vose 300.00
Horace W. Wadleigh 2,000.00
Joseph K. Wait 3,000.00
Harriet Ware 1,950.06
Allena F. Warren 8,888.33
William IL Warren 4,073.17
Eleanore C. Webb 5,314.95
Charles F. Webber 30,915.93
Mary Ann P. Weld 2,000.00
Oliver M. Wentworth 300.00
Cordelia H. Wheeler 800.00
Opha J. Wheeler 3,086.77
Ruth E. Whitmarsh 1.000.00
Sarah L. Whitmarsh 2,000.00
Samuel Brenton Whitney 1000 00
Adelia C. Williams 1,000.00
Judson Williams 3,628.46
Lucy B. Wilson, in memory of 800.00
Mehitable C. C. Wilson 543.75
Nettie R. Winn 1,000.00
Esther F. Wright 0,197.71
Thomas T. Wyman 20,000.00
Fanny Young 8,000.00
William B. Young 1,000.00
$2,608,333.68
$3,545,683.74

469  

HOWE MEMORIAL PRESS FUNDS, AUGUST 31, 1946

470  

Special funds:

471  

Adeline A. Douglas (printing raised characters) $ 5,000.00
Harriet S. Hazeltine (printing raised characters) 2,000.00
Thomas D. Roche (publication non-sectarian books) 1,883.84
J. Pauline Schenki (printing) 10,955.26
Deacon Stephen Stickney Fund (books, maps and charts) 5,000.00
$24,839.10

472  

General funds (principal and income for general purposes):

473  

Beggs Fund $ 1,000.00
Joseph H. Center 1,000.00
Augusta Wells 10,290.00
12,290.00
$37,129.10

474  

HOWE MEMORIAL PRESS FUND

475  

BALANCE SHEET, AUGUST 31, 1946

476  

Assets

477  

Equipment and supplies:

478  

Machinery $ 1,919.60
Furniture and fixtures 107.28
Printing inventory 3,049.19
Appliances inventory 6,058.41
Embossing inventory 1,422.85
Stationery, etc., inventory 2,052.76
$ 14,610.09

479  

Investments: Securities, book value 304,226.39
Accounts receivable 1,791.65
Cash 7,447.04
Total $328,075.17

480  

Liabilities

481  

General Account $290,344.97
Funds and legacies:
Special $ 24,839.10
General 12,290.00
37,129.10
Accounts payable 600.00
Withholding tax 1.10
Total $328,075.17

482  

TREASURER'S CONDENSED INCOME ACCOUNT

483  

YEAR ENDED AUGUST 31, 1946

484  

Interest and dividends, general purposes $ 15,165.46
Interest and dividends, special funds 1,181.70
Net income available for general purposes $ 16,347.16

485  

Expenses:

486  

Pensions $600.00
Treasurer's miscellaneous expenses 167.91
Net charge to Manager (see detailed statement) 13,906.21
14,674.12
Income in excess of expenses $ 1,673.04

487  

MANAGER'S EXPENSE ACCOUNT
YEAR ENDED AUGUST 31, 1946

488  

Maintenance and operation of plant:

489  

Embossing $ 4,925.69
Printing 7,296.56
Appliances 15,410.94
Stationery 1,277.78
Library 1,627.00
Depreciation on machinery and equipment 211.98
Salaries 3,558.59
Miscellaneous 350.03
Pension retirement plan $ 287.12
Less: contribution by employees 80.40
206.72
Loss on bad debts 2.25
$ 34,867.54.10
Less:
Discounts $ 80.39
Sale of appliances 14,049.35
Sale of books, music, etc 6,819.97
Miscellaneous income. . 11.62
20,961.33
Net charge to Manager $ 13,906.41

490  

KINDERGARTEN DEPARTMENT

491  

BALANCE SHEET, AUGUST 31, 1946

492  

Assets

493  

Plant:

494  

Real estate, Watertown $614,980.17

495  

Equipment:

496  

Tools, etc. $ 3,373.53
Furniture and household 5,334.40
Music Department 9,615.00
Library Department 86.59
18,409.52

497  

Investments:

498  

Securities, book value $2,482,654.97
Mortgage receivable 45,000.00
2,527,654.97
Inventory of provisions and supplies.. 8,304.07
Accounts receivable 9,24539
Cash 142,448.75
Total 63,321,042

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