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Iron Gate Building and Ivestment Company Records.

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The Iron Gate Building and Investment Company.

Balance Sheet February 3, 1894.

Resources. Treasury Stock $2,900.00 Unpaid Subscriptions $2,857.00 Real Estate----120 lots and 18 houses $34,449.78 Bills Receivable $320.68 Accounts Receivable $3.04 Office Furniture $10.00 Cash on hand $42.76

Totals: $40, 583. 26

Receipts.

From Stock $75.00 "Interest $17.60 "Rents $1,192.09 Cash on hand, February 10, 1893 $68.74

Totals: $1, 353. 43

Liabilities

Capital Stock $37,500.00 Bills Payable $2,126,95 Surplus Fund $956.31

Totals $40, 583.26

Disbursements.

Paid Sundry Expenses $50.67 'for Taxes $30.27 'for Repairs $57.05 "Salary Secretary, Treasurer and Manager $300.00 "for Commissions $96.81 "for Interest $22.83 "Bills Payable $750.00 "Clerk's Costs $3.04 Cash on hand $42.76

Totals: $1,353.43

Respectfully summitted, W.T. McCue Secretary and Treasurer.