TABLE NO. IV-FINANCIAL TABLES. SCHOOL FOR THE DEAF, COUNCIL BLUFFS. AMOUNT AND MANNER OF DISbursement of FUNDS AS SHOWN BY THE REPORTS OF THE INSTITUTION AND BOOKS OF THE BOARD. 1901 $ 200 35 216.88 209.66 $113.718.00 $424.32 $28, 193.31 CO $60, 024.40 $223.97 266 35.00 69, oco.59 259.40 297. 340. 35.00 73, 144.44 246.28 $53.593.60 57,689.21 62,268 50 126,689.80 476 28 135.412 94 455.94 3500 69,130.07 194.52 62, 046.49 288.3 t 264 7 35.00 35.00 60,785.51 58,602 07 210.84 221.39 49, 116 74 41.958.63 182 49 170.37 15851 128, 182. 56 109.902.25 100.560 70 * The Nineteenth General Assembly, chapter 105, section 1, in addition to per capita allowance, granted $21,000.00 to pay salaries of officers and teachers. See laws of Twentieth General Assembly, chapter 105, requisition for vacation quarter based on average number of pupils in attendance the last previous quarter. The laws of the Twenty-seventh General Assembly, chapter 83, section 1, includes salaries and wages, appropriation in note ''a" having been reduced to $18.000.00; per capita allowance granted only for the nine months of the school year. Includes salary paid treasurer of board of trustees. AMOUNT AND MANNER OF DISBURSEMENT OF FUNDS AS SHOWN BY THE REPORTS OF THE INSTITUTION AND BOOKS OF THE BOARD. *The Nineteenth General Assembly, chapter 40, section 9, prior to April 18, 1890, in addition to the per capita allowance, granted the sum of $11,000.00 The Twenty-seventh General Assembly, chapter 79, made a change April 13, 1898. This allowance includes items mentioned in Note "*" the appropria- TABLE No. VI-FINANCIAL TABLES. INDUSTRIAL SCHOOL FOR BOYS, ELDORA. AMOUNT ANd manner of disburseMENT OF FUNDS AS SHOWN BY THE REPORTS OF THE INSTITUTION AND BOOKS OF THE BOARD. * The Fifteenth General Assembly, chapter 21, amended by the Seventeenth General Assemlby, chapter 97. The Twenty-sixth General Assembly, chapter 41, section 1, advanced to date from April 18, 1896. The Twenty-seventh General Assembly, chapter 81, section 1, reduction made July 1, 1898. AMOUNT AND MANNER OF Disbursement of FUNDS AS SHOWN BY THE REPORTS OF THE INSTITUTION AND BOOKS OF THE BOARD. 1901.. *Twenty-third General Assembly, chapter 54. Twenty-seventh General Assembly, chapter 81. Twenty-eighth General Assembly, chapter 101. Prior to July 1, 1900, per capita allowance was $10.00 per month. Reduction dated from July 1, 1898. Advance dated from March 1, 1900. SPECIAL FUNDS. Amount. Total expendi tures. 6,695.19 $ 18,944.63 5,802.90 16,629 54 2,672, 88 23.625.74 35,302 54,276. 84 44, 109. 56, 574 45, 152.87 69,213.85 TABLE No. VIII-FINANCIAL TABLES. HOSPITAL FOR THE INSANE, MT. PLEASANT. AMOUNT AND MANNER of disburseMENT OF FUNDS AS SHOWN BY THE REPORTS OF THE INSTITUTION AND BOOKS OF THE BOARD. *Seventeenth General Assembly, chapter 100, section 2. †Code, section 2257, placed monthly per capita at $14 00. Amended by Twenty-Seventh General Assembly, chapter 54, section 1. momo $312, 179.93 313,835.27 310, 918.98 377,719.37 318,667.70 338.774.08 |