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[[bold]] REPORT ON PRESIDENT'S ADDRESS [[/bold]]

Frederick, September 11, 1925.
We, the Committee on President's Address, desire to make our report.
We suggest that the first recommendation be accepted:
First: "That the Chairman of Mother's meetings and the chairman of Temperance meeting outline a definite program for a meeting each Society at least once a quarter."  The Committee does not fully agree with this second recommendation. We agree with the third recommendation: viz.--"That a Finance Committee be appointed at each meeting to take care of all moneys reported at the meetings. Thus doing away with the several committees.

Respectfully submitted,
MRS. C. B. DAVIS, Chairman.
MRS. M. C. BECKETT
MRS. L. A. JORDAN, Secretary.

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REPORT OF EXECUTIVE BOARD
Frederick, Sept. 11, 1925.
To the Twenty-Ninth Annual Session of the W. M. M. Society of the Baltimore Conference Branch: 
The Executive Board begs leave to submit the following report: 

RECEIPTS
From Districts.......................$  881.75
From Contingent.......................   61.50
From Minutes..........................   23.00
From Registration.....................   45.50
From Juniors..........................  102.00
From Treasurer of Conference Branch...  360.45
                                      ________
Total Receipts.......................$1,474.20

EXPENSES
To Treasurer of Parent Body..............$  440.87
To Traveling and office expense of Board..   76.59
To Quinn A. M. E. Church..................  100.00
To Programs (Mr. Butler)..................    6.50
To Badges for Convention..................    8.00
To Rev. Bond for sermon...................    5.00
To Stationery.............................    1.90
TO Rev. Ashby (Mission Work)..............   30.00 
To Rev. D. J. Beckett.....................    5.00
To Rev. W. H. Williams....................    5.00
To Rev. Dennis............................    5.00
                                           ________
Total....................................$  683.86
                                           ________
Balance in Treasury......................  $790.34
 
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