COLLEGE FACULTIES FENERATION OF RRITISH COLFMRIA Statement of Cash Receints and Nishursenents For the Year "nded Anril 39, 1974 RECEIPTS Amual dues (schedule attached) € 9,179.90 Proceeds from 1973 CFF-SV1 Conference 92.15 TOTAL RECEIPTS $ 9,262.15 DISHIRSE ENTS | Executive committee exnenses § 3,423.39 Salary and workine conditions ccmnittee 1,691.79 Annual general meeting 1,281.26 BCTF (1972 services) 1,990.99 ‘fember-at-larve 999,71 Secretarial services 279,23 Postaee, stationery, etc. 299,49 Newsletter Tasen8 Lovo contest prizes 80.00 TOTAL NDISBURSE ENTS 8,899.95 EXCESS OF RECEIPTS OVER DISRURSF MENTS 362.2 OPENING CASH ON DEPOSIT MAY 1, 1973 3,458.33 CLOSING CASH ON DEPOSIT APRIL 39, 1974 $ 3,829.53 Seen etter vam a