(Financial Report for Year ending March 31, 1913)
Sinai Congregation, Executive Board Minutes, 3-31-13
Receipts
Balance April 1st, 1912 | $ 2616.67 |
Initiation Fees | 410.00 |
Seat Sales | 105367.00 |
Dues & Assessments | 55690.20 |
Interest | 186.53 |
Installments | 595.00 |
Social Center | 796.50 |
Temple | 370.00 |
Sundries | 46.75 |
$166078.65 |
Disbursements
Dr. Hirsch | $19666.64 |
Office Expense | 1450.00 |
Janitor, etc. | 1966.67 |
Choir Salary | 7196.61 |
Choir Extra | 178.97 |
Schools | 2662.50 |
Schools, extra | 702.75 |
Heating | 2787.06 |
Lighting | 3350.81 |
Maintenance Building | 3488.43 |
Maintenance Center | 4835.69 |
Postage, Printing & Advertising | 1431.82 |
Taxes | 308.20 |
Decorations | 302.00 |
Insurance | 2957.71 |
Dr. Hirsch | $ 3000.00 |
Union of Hebrew Cong. | 625.00 |
American Jewish Com. | 250.00 |
Extra Speakers | 100.00 |
Sundries | 1171.02 |
Treasurer Building Fund | 105972.00 |
Cash in Hand | 1674.77 |
$ 166078.65 |
