APPENDIX. Annual Report of the State Treasurer. STATE TREASURER'S OFFICE,) To the Legislature of the State of Michigan: In accordance with the provisions of law, I beg leave to submit herewith statements exhibiting the condition of the several funds for the fiscal year ending Nov. 30th, 1850. The balance in the treasury is thirty-six thousand and fifty-seven dollars eighty-five cents, ($36,057 S5.) During the past fiscal year all demands upon the general fund have been promptly met, with the exception of about $5,000, which was due to members and officers of the constitutional convention when it adjourned, nearly all of which has been since paid. Funds were also provided to pay all the interest on the adjusted portion of our State debt which became due on the 1st July last, and have been thus applied, except in those cases where the holders of the coupons have not presented them. The interest due on the coming 1st January on our State bonds amounts to $20,394 77, for which funds are provided and will be. paid at that time. I also submit herewith a statement of the amount and character of the bonds filed in this office by different banks in this State, as security for circulating bank notes countersigned by the State Treasurer. B. C. WHITTEMORE, State Treasurer. State Treasurer of Michigan in acconnt with the State of Michigan. 1850. DR. 1850. CR. Nov. 30. To bal. in the treas. Nov. Nov. 30. By amount paid out on 30, 1849, $55,597 47 act. gen. f'd, To am't r'ts ac.gen. f'd,206,192 58 By do int. imp. fund, do int. imp. fund, do pri. sch. fund, Cash, 140,358 38 do pri. sch. int. do 9,881 39 do contingent, do St. building fund, 524 50 do treas. notes burned, 3,165 15 do asylum fund, $167,871 65 221,901 86 do 43,921 47 12,817 11 572 24 415 24 532 07 42 00 544 53 611 60 221 77 36,057 85 $485,509 39 $110,550 14 661 14 do Nor. sch. end't fund, $485,509 39 Ledger Balances, November 30, 1850. $36,057 85 General fund, 294,753 11 Primary school fund, 197,711 96 2,034 48 University fund, 7,348 80 Primary sch. int. fund, 339 37 Contingent fund, . Michigan Central R. To warrants paid during the fiscal By bal. Nov. 30, '49, $18,980 99 INTERNAL IMPROVEMENT FUND. To bal. Nov. 30, '49, $251,213 38 By receipts during the fiscal year, do do St. builn. do $140,358 38 29,908 75 8,095 00 do bal. Nov. 30, '50, 294,753 11 To bal. Nov. 30, '50, $197,711 96 By bal. Nov. 30, '49, $175,250 06 do receipts during 22,461 90 $197,711 96 bal. Nov. 30, '49, $101,192 38 do receipts during fiscal year, PRIMARY SCHOOL INTEREST FUND. To warrants paid du- $58,328 65 9,881 39 $111,073 77 |