Form 1615-B AMERTCAN RED CROSS | Rev. Feb. 1944 REMITTANCE OF 1944 WAR FUND CONTRIBUTIONS No. Chapter 2 Date Name State REMITTANCE STATEMENT mo Total cash collected to date ‘ 2. Authorized_% retained by chapter fe fe fe 3. Amount due National Organization . cos 4. Amount previously remitted to Area Office $ 5. Balance due National Organization - _ Cheek Attsthed . 5 2s. + § Remarks — om Se ee oe om am Ge a oe Ge oe Ge Gt Oe GH a ae om ce ceo cee Ge Ge GD GD CD ee GD Ge GD Ge Ge ce GE Gm CHD am GD Ge Gx ap GP Ge GH Gm Ge Gm GP GH GE Ge am Se Gm GE Gm cE GH Ge GD Gm Sep Gee Gee ee Ge Ge tet oun Cae oup OOF em ee Gee GE coy ee Gee mY cee Cee cee OES oe eee CAMPAIGN REPORT *6. Total cash collected to date (Same as 1 above). ... eee $ 7. -Umpaid pledges on hand. ....5.... 4 8. Credits reported from Area Office $ O. Goes) ee ee ce cn es Se *This figure should at all times reflect the total amount collected from the begins of the campaign to the date of this report. SOURCES OF THIS REPORTED TOTAL 30. Been $ of. Bee Ge ae ee ss ce Se Se dey Rill ote we eee oo er ee a 1, Total ratsed (same as item 9) .. ¢ 14, Number of individual contributors of $1.00 or more (do not include corporations, other business firms or organizations) . . Signed_ Chapter Treasurer List on the reverse side sontributlons: of $10,000 or more which have not been Sere reported. (Mail to dniertcon: ted Cross, 1709 Washington Ave., St. Louis ae sanperd. )