796EFC-1-1-4_0303.tif
							£441.17.9
		for the purposes of the Balance sheet at £322.0.5
		and be shown in one sum in the Balance
		Sheet under the head of Sundry debtors.

		3. Having heard the auditors report respecting
		the season tickets it was resolved that
		the amount as shown in the accounts viz.
		£292.18.0 be accepted as correct and that the
		sum of 3/11 which was apparently over paid
		be credited to stationery a/c.

		4. That a 10% depreciation be written off
		ground stands hoardings and erections.
				£375.15.2
		amounting to £412.7.1 and off office fixtures
						£5.10.0
		and implements amounting to £4.19.0.

		5. That the statement of Accounts Balance Sheet
		and profit and loss account be approved.

Annual meeting	Resolved that the annual meeting be
say June 10th	fixed for the 5th June at 8 o'clock at the New
Friday		City Hall Eberle Street failing which at the
		Lecture Hall Royal Street.


Annual meetings	Resolved that the representatives
Lanc. F. A. Lanc. to the Annual Meeting of the League and
Combn. & L'pool & Dist. Association be deputed to attend the Annual
		Meetings of the Lancashire F. A. Lancashire
		Combination & L'pool & District F. A.

May 29th 1903			W. R. Clayton