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Cash book, 1900 May 15 - 1904 December 20

 Item — Volume: 77

Scope and Contents

This cash book provides a supplement to Volume 78 (Cash Book, May 1901 - November 1904). Volume 78 provides extensive information about operating receipts and payments that match totals in the annual Board of Manager reports, details faculty salaries and individual donations to the College, lists monthly income and annual assets of each endowed fund, and describes the cost of building construction (Roberts Hall) and inflows/outflows of the College’s line of credit with Provident Life & Trust Company. In contrast, this ledger (labeled Cash Book II) records only cash payments made to vendors and wages paid to employees (excluding faculty) in a format that provides very little descriptive information.

(Adapted from a report by G. Richard Wynn, Emeritus Vice President of Finance and Administration)

Dates

  • Creation: 1900 May 15 - 1904 December 20

Access Restrictions

Haverford College financial records are closed for a period of 25 years from the date of the creation of the record.

Find It at the Library

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