TERRACE NE 5 VoL 13 — vn — TERRACE, 8. C., WEDNESDAY, FEBRUARY 22, 1933 | "oo No 9 pa 1 med ——————— Philbert Hotel TERRACE, B. C. Fully Modern Eleetrie Light Running Water Travellers Sample Rooms P. 0. Box 5 L. Martin, Prop. Telephone P2 ‘d & Bring your car‘in for a Complete Overhaul Agar’s Garage All repairs carefully made Oil and gas. Full stock. of parts, tires, ete, General Motors Agent Terrace, B. C, Terrace Mill Stock-of Lumber Rough Lumber No. 2 Shiplap S48 common dimension and No. 1 Ship- lap No, 1 Finish, Siding, Flooring, V-joint Ete. Shingles Mouldings, » PRICES ON APPLICATION Geo. Little Terrace, B. C. —<— vo BORG ERCP THEE. Vaneouver, B. ¢. The Hause of Comfort and Cheerv Service Extremely-Leow New Winiter Rates s WITHOUI BATI WITH BATH DAILY % 1.50% 2.00 MONTHLY 25,00 30.00 ALL OUTSIDE ROOMS w Free Garage “@ In the centre of the city’s attractions All rooms exceptionally large and noise proof we Write For Wiustrated Fotder THE YORK HOTEL Vancouver, B.C, A. G. Bourhion Manaser As & result of the United States go- ing wet and the falling off of business from that country and the possibility of importations of beer from the Unit- ed States, the brewers of B. ©, have made an offer to the provincial gover- nment of heer at $1.50 n doxen, and de- F livered direct to the consumers. The rovernment gave no -hnmediate reply. ) . ‘ The Torrnce News Is aly Twa Dallas HAZELTON HOSPITAL REPORT As a matter of economy, principably, the Training Schoot ‘fur... Nurses has been discontinued as from September 20th last. Our seven, bupil nurses, Misses Robinson, Bolivar, Gazeley, Mussallem, Glass, Greig” and Dannheur, were accepted by the Royal. Coinmbian Hospital at New _ Westminster where they will complete thelr training. Our nursing staff now consists of Miss Craig, matron, and Misses Ford, Eilefson, Camphell, Willan, ‘Wrinch and Haines,. These are ail graduates and hold B. C. licenses, With the. assistance. of three w- -d maids they are handling the work most efficiently. There have been no other changes in the staff, and the work is running very smoothly, During the summer months an extra man for part time will be required to help in the vegetable garden and fields, from which a very valuable portion of the food supplies are derived. BUILDINGS AND REPAIRS Very ‘little was done to the buildings last year, it being deemed advisable to ascertain just how the current income would meet current requirements of actual operation. The experience of the year prover the wisdom of this, particularly in view of the over-expenditnre of the preceeding year, . ‘There was a credit balance of $715.71 out of the Year’s operations.. This is not a large amount, but has: served to dem- onstrate that the institution was nble to carry on under adverse conili- tions. . moe ‘Some necessary repairs and upkeep of buildings must be given at- tention very soon. The foundation posts.of the Medical Superintendents residence, whieh: was’ built in 1908, must be replaced: this year. This building and the Nurses Residence should be repainted. A building that accommodates meat room, ice house, store room and coal shed is in bad repnir and should be rebuilt. -Also the stock barn should have its wogd- ~ en basement walls replaced by conerete. It is not probable that this can all be done this yenr, in view ot the 10 per cent. reduction being made in some of the income grants,’ but the need for them cannot be overlooked. ‘The house foundations must be attended to. Other matters will have to receive attention in order of irgency aml as finances permit. FINANCIAL REVIEW It is with a feeling of profound relief that we find on closing our books ut the end of the year 1982, that we have been able to earry on the full twelve months and to report at the end a small excess of rp-- ceipts over expenditures. This is not claiming that all has been don. that could or should have been. Some very necessary repairs to some buildings have been postponed in order that the essentials of wages, food, light, heat and medical supplies shonld not be Short. It has been 2 year of tense strain because of the feeling of extreme uncertainty as ’ to what the future might hold for our institution. In this we were on a par with all other organizations, and business interests. And in com- mon with them the Board felt it shoutd not lay out money for any but absolute essentials. This policy is reflected in n compayison of financial statements of the past two years, for, while the ersh income of 1932 showed a drop of: $7807.81 from that of 1931, the cash expended was $11,471.24 below the preceeding year. This comparison shows therefore a net greater re- duction of expenditures in relation to receipts in the sum of $3663.43. This amount corresponds very closely to the amount spent in 1081 in extensions und repairs of buildings, upon which items ouly a trifling iunoannt was expended last year. The vross veduetion in cash receints nnd expenditures was, to a livge extent, due to the lower attendance of patients during 1932. To a lesser degree this is to be accounted for also by a reduction of staft, reductions of suluries, lover prices of some food stuffs, and closing of Trining school, Itemized details uppear in the appended financial statement and lulance sheet. From an exaumiuntion of these it will be noted that there ix at falling off of net assets of $9760.00 from the 1931 statement, Items in explanation of this ure depreciation on buildings, $5,000; an amount written off accounts receivable, $3650: insurance paid in advance, $675 less than last year, The items also “supplies on hand $1715” includes only products of the farm, feed on hand for stock for balance of the winter, and fuel. A further amount of $1500 wonld be a conservative estimate of value of other food supplies, laundry supplies, medical and surgical supplies and farm stock. ; «~ When tuese matters are taken into uecount the actual net de- - Creuse In assets is very small THE WORK OF THE LADIES The aboye report of the Women's Auxiliary to the Hazelton Hos- tal is entively too brief to carry any adequate iden of the amount. of work performed. and of the scope of activities carried ont by these © Indies in the interests of the work of onr institution. | Tn view of the extreme difficulty in rrising money for philan- thrapig purposes at the present time, the results obtained in that par- ticular ave romarkable, Too much cannot be said tn. apprecintion of these efforts, . Secretary Board of Directors H, C. Wrinch ANNUAL REPORT OF THE WOMAN'S AUXILIARY TO ; THE HAZELTON HOSPITAL The Woman's Auxillary to The Hazelton Hospital has just closed a very sticeysful yenr. Thirty-nine members were enrolled, including members from the stirrounding districts ag well as in Hazelton. Monthly business and several sewing meetings were held during the yenr. In this connection we wish to mention with much apprecia- tion the good assistance given by the ladies of New Hazelton and Cedar- vale, mo, . . , conte sot an woes Four public entertalnmients were put on by the Au year. Mach was well supported and quite successful, Forty-nine dollars and fifty cents were renlized by the raffle. of W gramophone and 150 records donated by Mrs, Chappell. 4 ing! the year, - xillary this top pos The annual miscellaneous shower was held in October and receiv- ed generous response. nou — Tivo successful sales of home cooking were held. Funds were especially raised for linoleum: for the floor of the . "ease Yoom and sterilizing room. Great interest was teken in all efforts put forward to ralse money - and the Auxiliary's thanks are extended to all who kindiy helped daur- GINANCIAL STATEMENT Women’s Auxiliary to the Hazelton Hospital, December 31, 1982 “RECEIPTS: _ oo en 72°) Cash on band wu. -_ weed, DBAS Membership fees . creer, 8500 Entertainments .. senses tee sae 25005 Raffle of gramophone’ mestsenescansec -: - 49,50 - ' Fortune telling . Seow, enessnees ‘= 8,00 | | . 446.30 _ EXPENRITURES: | CO Advertising, Omineca Herald. ..... vleeealen, 8 20,23 Hall rent : saat 30.00 Piano rent 0.0... an elecregeeesesstsonnesessest 15.00 Stationery and stamps .................. sesidecsssnscrutvesateneenceenee! 5.05. Musie for dauces .. a ceeeenees : 37.00 Subscriptions to newspapers sasenetace ! 13.00 Expenses for entertainments verdeceesanensesneas 89.70 SUpDHes woe. ceeeeeeees oe, see seeles 172,89 Treats for patients Masstcavenneassreescentsane ‘sveniscesces 15.35 Operating expenses nt bauk : . - 0 Linoleum for case room and sterilizing r00............ 80,00 Cash on-hand oss ; . 16.68 $440,30 Ethel G. Craig, secretary-ireasurer FINANCIAL STATEMENT FOR THE YEAR 1932 oe RECEIPTS: oy By Provincin] Government $ 4369.92 By Dept. of Indian Afgan cccccsscecsseenes.. '14702.55 By Patients fees, general . $ 3997.94 By Patients fees, WG. Board wesc cecssccesseseces 92.50 By Patients fees, Contracts... 380.75 § 4421.19 By Donations, MASCENANEOUS o.ceccsccesscseerssccesseceeee 404,85 By Donations, Woman’s Missionary Society .... 950.00 By Donation, United Church Mission Board...... 3300.00 4654.85 By Miscellaneous goods Sold -.....ccsscccssssesssssseseosse 326.40 By Refunds, merchandise, ete ......... wwe $54.51 780.91 $28029.42 iXPENDITURE: — - - ; To Administration, salaries sinters 720,00 To Administration, office expense ......0c........ 183.09 $1703.00 To Care of Patients, salaries, nurses, ete ........ WOST70 To Care of Patients, SUPPHOS oo eee 207087 9164.57 Lo Kitehen stores ond housekeeping, salaries... $968,35 ‘To Kitchen stores, etc, provisions .... "sasuaneceneees 4279.55 7532.90 \ To Heating and lighting, salaries ...................... 2284.70 . fo heating, lighting, fuel and other supplies .. 4507.50 8792.20 To Buildings and grounds, salaries wtsaieeee 1079.25 : To Bulldings and grounds, supplies ............ 63012 1718.37 ! { To Laundry, salaries .. . 1156.90 To Laundry,’ supplies ...... . 145.68 1302.58 $28213,71 _ ASSETS AND LIABILITIES ASSETS: ..... * . By Real estate and buildings ....................... ee $100025.00 By Furniture and equipment -- 9500.00 Ry Supplies on hand 1715.00 By Insurance paid in advance 575.00 By Accounts receivable 4350.00 Ry Amount accrued on Provincial Government .......... 675.00 By Aniount accrued on Indian Department ‘ wee = OLOB.TS 165.00 4 —* $420208,75 LIABILITIES: | Bo Accounts PAA Coeccecccccccc cose $542.00 fo Amount, due Royal Bank of Canna veccccccuneace 2600,00 To Amount due building fund nstvas 1200.00 _ To Amount due Bank os per cosh bOOK csercscesusesnnnems 1206.08 *. To Amount due treasurer vies coves "208.78 To Amount’ of asseta over Habilities . tifssssseeeectocentisetisve 114868.99 cA ee ed aver en es t20108,78