Reports of the missionary and benevolent boards and committees to the General Assembly of the Presbyterian Church in the United States of America . .75 $4,068, 88, 1,156, Presbyterian Board of Ministerial Relief and Sustentation. 29 RELIEF Report for the year ending March 31, 1919. PERMANENT FUND. Investments and Disbursements. Investments: Bonds $1,654, Mortgages 2,202, Stocks 55, Bills Receivable 15, War Saving Certificates Real Estate: LAmoreaux Home $18, Merriam Home Merrill Home Ministers Memo


Reports of the missionary and benevolent boards and committees to the General Assembly of the Presbyterian Church in the United States of America . .75 $4,068, 88, 1,156, Presbyterian Board of Ministerial Relief and Sustentation. 29 RELIEF Report for the year ending March 31, 1919. PERMANENT FUND. Investments and Disbursements. Investments: Bonds $1,654, Mortgages 2,202, Stocks 55, Bills Receivable 15, War Saving Certificates Real Estate: LAmoreaux Home $18, Merriam Home Merrill Home Ministers Memorial Cottage 13, Thornton Home 50, Philadelphia Property 29, Bryn Mawr Property 9, Odin, 111., Property Adair Co., Okla., Property Hinton, Okla., Property 196, Cash in Bank March 31, 1919 31, $4,156, In addition to the above resources, the Trustees of the General Assembly holdSecurities amounting to $407, 30 Presbyterian Board of Ministerial Relief and Sustentation. RELIEF AND SUSTENTATION DEPARTMENTS. Treasurers Report for the year ending March 31, 1919. CAMPAIGN $228, Presbyterian Board of Miiiislcrial Relief and Snstcnlation. 31 RELIEF AND SUSTENTATION Report for the year ending March 31, 1919. CAMPAIGN ACCOUNT. Disbursements. Campaign Expenses:Salaries: Officers $2, Clerks 3, Field Representatives 16, $22, Traveling Expenses 9, Advertising 4, Postage 4, Printing (Stationery) Office Expenses and Supplies 29890 $41, Transferred to Relief Department 40, Transferred to Sustentation Department 129, Balance March 31, 1919 17, $228,288,59 Z2 Presbyterian Board of Ministerial Relief and Sustentation. SUSTENTATION DEPARTMENT Treasurers Report for the Year ending March 31, 1919. Receipts Balance March 31, 1918 $1,258, Cash on Subscriptions (Net) $129, Cash on Subscriptions Current Work


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