997 No. 15.-Statement showing the revenue which accrued on postal-note transactions for the fiscal year ended June 30, 1885. Amount received for fees on postal notes issued.... Amount allowed postmasters: For commissions.. For clerk hire.... For incidental expenses.. Net revenue. No. 16.-Statement showing the transfers to and from the money-order account during the fiscal year ended June 30, 1885. Amount transferred to money-order account. Balance due postage account June 30, 1885.... 167,577 12 913, 648 59 No. 18.-Statement showing the money-order transactions with the assistant United States treasurer at New York, N. Y., during the fiscal year ended June 30, 1885. Balance in the hands of the assistant United States treasurer, June 30, 1884 $2,673, 462 75 Amount deposited with the assistant United States treasurer.. 1,787, 194 74 4,460, 657 49 Amount of drafts paid by the assistant United States treasurer 2,577,586 59 Balance in the hands of the assistant United States treasurer June 30, 1885.. 1,883, 070 90 4,460, 657 49 |