REPORT OF THE OFFICERS OF THE BOARD. 



KKCEIPTS. 



Rents collected in 1892 #89,079 27 



Garden, pasturage and sales 1,079 13 



Interest, cash discount on taxes 414 50 90,572 90 



Cash Balance on January 1, 1892 8,258 ° 7 



Total $98,830 97 



EXPENDITURES . 



Garden Expenses - 



Labor, including pupils 016,582 92 



Fuel 1,1*8 29 



Stable and implements 802 00 



Repairs and supplies 2,839 32 



Scholarship, care of lodge 445 87 



Plants and seeds 736 43 



Herbarium 502 07 



Library, books and subscriptions 1,602 78 



Garden Office, salaries, etc 5,446 50 $30,106 18 



Garden Improvements — 



Furnishing Library, etc 2,806 06 



Publications M 20 6 1 



Property expenses — 



Commission 3,247 32 



Taxes 22,167 36 



Insurance * ?853 45 



Repairs 5,347 46 32,615 59 



Sundry accounts — 



Office salaries 2,500 00 



Rent of office 540 00 



Printing and stationery 415 56 3,455 56 



Legal expenses 2 *2 1 5 



Bequests, annual — 



Flower show, premiums 387 CO 



Flower sermon 200 00 



Trustees' banquet 906 25 



Gardeners' banquet 397 00 1,890 25 



$72,936 40 

 Cash on hand 25^8!>4J>7 



$98,830 07 



Financial condition — 



Cash on hand and in bank $25,894 57 



Less amount due stock account, etc 2,332 98 



Surplus $23,56159 



