Annual Report: The Treasurer 61 Entertainment and publicity $ 3,133.42 Library supplies 655.34 Photostat and photograph supplies .... 2,502.72 Binding expenses 2,645.69 Museum supplies 1,435.15 Expense—15 West 76th Street Annex 1,456.13 Miscellaneous expenses 983.02 Bookkeeping and auditing services .... 6,500.00 Custody of securities 2,650.00 Traveling 1,459.42 Office, Library and Museum equipment . 2,164.25 Total Expenditures $385,259.53 Net Operating Income for Year $ 28,889.83 Transferred to: General Fund Reserve for Pensions ... $ 24,000.00 General Fund Accumulated Surplus 4,889.83 $ 28,889.83 The income and expenditures of the General Fund Accumulated Surplus of=the Society for the year 1961 were as follows: Income: Transfer from General Fund Operating Account $ 4,889.83 Expenditures 8,388.74 Excess of Expenditures over Income for Year . . ($ 3,498.91) Fund balance at beginning of year—January 1,1961 . 218,675.32 Fund Balance at End of Year—December 31,1961. $215,176.41 The income and expenditures of the General Fund Reserve for Pensions of the Society for the year 1961 were as follows: Income: Transfer from General Fund Operating Account • . . $ 24,000.00