10.



Previously Current
Roport3d   Month



Expenditure :
Expense



199 334.85  24 884e55



Fiacal
Yeer
To Date


224,219.40



Bxcose of Income over Expendi-
  tures

Excess of Income over Expendi-
  tures for the fiscal year to
  date - Extension Division
Oauh in B2nk July 1, 1922 -
  Extension Division
Cash in Bank March 31, 1923 -
  Extension Division

Summary
  General F'nd Income
  Trust, Fund Income
  Experiment Station Income
  Extension Division Income
                     To tal

 General Fund Expenditures
 Trust Fund Expanditures
 Experiment Station hxpendi-
   tures
   Extension Division Expendi-
   tures
                   Total



58  2Z.   (24$639.95)



34,084.32

  615,31

34,699 63



536,023. 28
  3,944.61
145,988.49
258,059.12
944.015.50

369 ,131.40
  1,452.94

147,024.15

199 .334.85
716 .943.34



12,531.48
   534,02
17,341.30
   244.60
30,651*40

51,830.05
    84.44

19,160.36

24,884,55
95, 9 9,.40



548,554h76
  4,478.63
163, 329.79
258,303.72
974,666.90

420,961.45
  1,537.38

166,184.51

224,219.40
812, 902*74



Nxcess cyt.Income over Ex
penditures

EXcess of Expenditures over
  Receipts Tor General Ledger
  Accounts

Student Notes

Excess of Receipts over Ex-
penditures - Combined Fund

EXceSS Of Receipts over Ex-



227,072.16 (65,308.00)



(24,807.06)



161,764.16



622.66   (24,1841.40)



(4.470Q00 ) (3,320.00)


19 7, 79 5.!1   ( 68,005.*34 )



penditures for the fiscal year
to date - Combined Fund
Cash in Bank and on hand July 1, 1922 -
  Combined Fund
Cash in Bank and on hand March 31, 1923 -
  Combined Fund



(7,790.00)


129,789.76



129,789.76

(32,504.70)

, 97. 285 .06



'Vihereupon the Board adjourned.

                            -RFrvn.4T-h1t l y submi tt :i