REPORT OF THE OFFICERS OF THE BOARD. 25 
_ 
Rock Spring District Sewer No.14 ....... +. § 7,309 24 
Manchester Road Joint DistrictSewer . . . ». «. «© « 33,899 25 
Rock Spring District Sewer No. 13 . . . »« « « » « 1,979 55 
Alley’ In Clty Block Wo. 4047) 0. we oe ee 1,164 00 
$ 44,352 04 
Sundry streets reconstructed . . . . » « » we e 2,799 43 
$ 47,151 47 
These improvements were anticipated in our last report. 
Other improvements of a similar character will necessitate 
the following expenditures during the year 1906, and, 
if paid in cash, a portion of the cost must be met by sales 
of residence property: — | 
Old Manchester Road Sit whe wiles fauce- 0. 0° 2 cp eee 
Shaw Avenue a dae eo nec Re ae ee eae ee hne ral tie 16,000 00 
Molen AYORMG 6 wet he me mae: le oy 8 4,000 00 
RE BORG s+ 8) 0 ge ae ee ee 14,000 00 
Vandeventer Avenue . «© 6 + + + 6 ee ee es 4,000 00 
$ 58,000 00 
The annual bequests provided for in Mr. Shaw’s will 
have been carried out at a cost of $1,884.11, with the 
exception of the Trustees’ annual banquet which was not 
held. 
No permanent improvements have been made at the 
Garden, but a large number of additions have been made 
to the herbarium, and much work has been done on the 
library catalogue. 
_ The following amounts have been credited to the Stock 
Account: — 
Library . . . . . e ° °. . . e . e . . . . . . $4,332 64 
Herbarium . - - - + 6 6 + + we @ ee ew ee oe 5,805 25 
RECEIPTS. 
Bontsin ... ec + 0, + 0 0 85m eee en 
Interest and dividends . . . . + + « « « 1,828 77 
Garden pasturage above expenses, etc. . . - 403 04 
Garden hand-book sales . . + + + « « « 198 25 
Publication sales . . «. « + © » « #*¢ « 4 08 
Total income collections .. . .j $123,177 08 
