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Cash book, 1911 May - 1914 February

 Item — Volume: 83

Scope and Contents

This cash book employs double-entry accounting and records monthly receipts (revenues) on the left-hand pages and payments (expenses) on the right-hand pages. The primary categories of receipts are board and tuition, board of professors, stationery, rents, farm, endowed funds, laboratory fees, incidentals, and inflows from bank borrowing. Most of the payment pages aggregate monthly expenditures into the following categories: salaries, provisions, wages, family expenses and furniture, fuel and lights, farm, lawn and garden, laboratories, machine shop, library, observatory, gymnasium, stationery, printing and advertising, incidentals, skating pond, prizes, and repairs and improvements.

The companion to this cash book is Volume 82 (Cash book, April 15, 1909 - August 15, 1912).

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

Dates

  • Creation: 1911 May - 1914 February

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

Most of the materials in this catalog are not digitized and can only be accessed in person. Please see our website for more information about visiting or requesting repoductions from Haverford College Quaker & Special Collections Library

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Haverford PA 19041 USA US