of the increase in personnel, authorization was obtained to keep #75,000.00 cash on hand. additional increases in personnel necessi- tated further authorization to keep 3125,000.00 cash on hand. Because of the distance from the Finance Office to the depository (approximately 2800 miles) it was necessary to arrange to have Postal and Army Exchange cash receipts turned over to the Finance Officer and Treasury Checks issued by the parent Disbursing Office. This resulted in a lapse of some ten to fifteen days in the rendition of reports and returns by the Postal Officer and the Army ixchange Cfficer but eliminated the necessity of frecuent trips to the depository for funds with which to make payments. The payment of all enlisted pay rolls and Officers' pay and allowance accounts were accomplished on time each month, Comparative Statement of expenditures by month from 2lst to 20th: 21 December 1947 to 20 Januery 1948 2 118,270.84 21 January 1948 to 20 February 1948 137,610.55 21 February 1948 to 20 March 1948 139,902.86 21 March 1948 to 20 April 1948 156,860.87 Total expenditures (4 months) $ 552,645.12 The above does not include payments by check made by the parent Disbursing Office to personnel of the Island Command at Lniwetok. RECOMMENDATIONS: It is recommended that, should a similar operation be undertaken at some future date at a great distance from a Depository as is this one, there be established an accountable Disbursing Office in order that official business might be transacted more expeditiously. Section VIb 36

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