Box 18
Contains 2 Results:
Check Register and Deposit Book, 1929-1942
Consist primarily of day books, which contain a daily account of deposits and disbursements; receipt books were retained for periods not covered by day books and contain a record of monies received from members; the monthly report of the financial secretary provides information about the number of paying members of the union and monies owed to the United Brotherhood.
Day Books, 1902-1914, 1936-1947
Consist primarily of day books, which contain a daily account of deposits and disbursements; receipt books were retained for periods not covered by day books and contain a record of monies received from members; the monthly report of the financial secretary provides information about the number of paying members of the union and monies owed to the United Brotherhood.