|
| |
Caption: Board of Trustees Minutes - 1914 This is a reduced-resolution page image for fast online browsing.
EXTRACTED TEXT FROM PAGE:
CASH STATEMENT OF THE UNIVERSITY OF ILLINOIS FOR THE TWELVE MONTHS ENDING JUNE 30, 1913.* RECEIPTS. Balance July 1, 1912 Interest on endowment fund and on land c o n t r a c t s . . . . Other United States grants State appropriations— . For buildings For operating expenses For other special purposes Student Fees— Urbana Chicago Departmental sales Interest on bank balances ,.., Gifts Trust funds Miscellaneous $ 32,464 34 79,552 19 246,500 00 575,000 00 747,400 00 125,230 37,757 99,260 22,784 4,125 6,638 13,029 20 01 00 70 00 06 56 $ 607,488 81 $2,597,229 87 DISBURSEMENTS. Salaries Labor Buildings Library Departmental and general equipment Office expense Departmental expense Trust funds \, Interest—College of Medicine Miscellaneous Cash balance June 30, 1913 , $963,115 253,918 515,514 44,446 176,340 51,802 245,850 6,541 15,053 44,224 17 33 22 17 10 33 11 07 03 55 $2,316,805 08 280,424 79 $2,597,229 87 •Compiled from "Report of the Comptroller for the Biennium ending June 30,1913." 274
| |