REPORT OF THE TREASURER GENERAL FUND OPERATING ACCOUNT The income and expenditures of the General Fund Operating Account of the Society for the year 1959 were as follows: Income: Income from securities . Less: Allocated to Special Funds Net income from rented property Sales of photostats, photographs, etc. Members' dues Contributions—general Refunds and miscellaneous Transfer from Pell, Watson, and Zabriskie Bindery Funds toward expenses of Bindery Department 769.92 $381,298.51 19,308.00 $361,990.51 i4,3!9-93 c. . . . 6,017.56 4,480.00 200.00 112.26 Total Income $387,890.1$ Expenditures : Salaries $276,535.34 Add: Society's share of federal Social Security Tax . 6,261.19 Society's share of employees' retirement plan 4,337.62 $287,134.15 Electric and gas 10,452.25 Heat 11,533.02 Water and sewer 452.60 Building supplies and ordinary repairs 6,669.40 Building equipment 395-oo Insurance 10,486.86 Postage 2,175.99 Telephone 1,850.76 Office supplies 3,568.15 Printing * . . 10,815.87 Education 2,888.83