The Ypres League (Incorporated)
Balance Sheet, 31sf December, 1933.
LIABILITIES AND FUNDS.
s. d.
Free Pilgrimage Fund
General Fund
Balance at credit, 1st January, 1033 105 15 10
Less Balance at debit for year to 31st
December, 1033 135 2 7
Reserve Fund
In respect of Life Membership Subscriptions
"Ypres Times" Maintenance Fund
Maintenance Fund
Ypres Salient Notice Boards
Sundry Creditors, etc.
Hostel Fund
Balance, 1st January, 1033 381 10 0
Less Amount transferred to General
Fund 70 8 5
Add Net Income for the year to 31st
December 1033
8 13
s.
d.
131
10
0
60
13
3
300
0
0
208
18
10
6
16
0
60
10
10
311 10 7
320 4 0
£1,008 12 2
ASSETS.
s. d.
Stocks of Publications, etc., on hand 04
As per Head Office records and Secretary's valuation.
Cash at Bank and in hand
Free Pilgrimage Fund 135 2 0
Head Office Account 25 5 11
d.
6
Halifax Building Society
Deposit Account A
Deposit Account B
Add Interest accrued
300
0
0
200
0
0
500
0
0
8
15
0
160
Sundry Pre-payments, etc.
War Stock 3£%
£323 2s. lid. Stock on Hostel Fund Account.
W. I'. PULTENEY, Lieut.-Genera],
linn. Treasurer.
E. Ti. WAGGETT. Major 1 Members of the.
E. MONTAGUE JONES, Major General Committee.
508 15 O
12 4 5
322 10 10
£1,008 12 2
REPORT OF THE AUDITORS TO THE MEMBERS OF TnE YPRES LEAGUE, INCORPORATED.
We beg to report that we have examined the above Balance Sheet with the Head Office Books and relative Documents of the
Association and have obtained all the information and explanations we have required. In our opinion such Balance Sheet is properly
drawn up so as to exhibit a true and correct view of the Association's affairs, according to the best of our information and the
explanations given to us and as shown by the Book of the Association.
Dated this 20th day of June, 1034. LEPINE JACKSON, Chartered Accountants,
6, Bond Covrt, Waxbrook, London, E.C.4, Auditors,