COLLEGR FACULTIRS FENFRATION OF RRITISH COLAMRBIA Statement of Cash Receints and Nis'ursements For the Year "nded Anril 39, 1974 RECEIPTS Ammual dues (schedule attached) Proceeds from 1973 CFF-SV1 Conference TOTAL RACEIPTS DISRIRSE ENTS Executive committee exnenses Salary and workine conditions ccmnittee Annual general meeting BCTF (1972 services) *fember-at-larve Secretarial services Postace, stationery, etc. Newsletter Lovo contest prizes TOTAL DISBURSF (NTS EXCESS OF RECEIPTS OVER DISRURSE ENTS OPENING CASH ON DEPOSIT MAY 1, 1973 CLOSING CASH ON DEPOSIT APRIL 39, 1974 € 9,179,990 92.15 § 9,262.15 $ 3,423.39 1,691.79 1,281.26 1,990.59 991.71 279.28 299,49 1353.22 89.99 8,899.95 362.2 3,458.33 $ 3,829.53