Cash book, 1933 February 1 - 1935 January 31
Scope and Contents
This cash book employs double-entry accounting and records receipts (revenues) on the left-hand pages and payments (expenses) on the right-hand pages. The primary categories of receipts are board and tuition, re-examination and miscellaneous fees, board of professors, stationery, rents, endowed funds, farm, and inflows from bank borrowing. Aggregated annual expenditures (without detail) are provided for the following categories: infirmary, Haverford Union, gymnasium and athletics, library, provisions, wages, pensions, family expense and furniture, farm, fuel and light, water, lawn and garden, laboratories, stationery, printing and advertising, repairs and improvements, skating pond, interest, taxes, insurance, incidentals, educational miscellaneous, Secretary and Treasurer expenses, and President's Entertainment Fund. Payments in this cash book include numerous purchases of securities for endowed funds.
(Adapted from a report by G. Richard Wynn, Emeritus Vice President of Finance and Administration)
Dates
- Creation: 1933 February 1 - 1935 January 31
Access Restrictions
Haverford College financial records are closed for a period of 25 years from the date of the creation of the record.
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