Foreign Language Press Service

(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
2

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
3
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
FLPS index card