REPORT OF THE OFFICERS OF THE BOARD. 9 



our high appreciation of Dr. Chaplin's conscientious faithful- 

 ness in bearing a full share of our responsibilities during the 

 past sixteen years, and of his strong manly character. 



RECEIPTS. 



Receipts on account of rental $130,416 58 



Interest and dividends . 3,542 99 



Garden pasturage above expenses . . . . 124 94 



Garden handbook sales . 184 00 



Publication sales 

 Library sales . 



3 75 



5 00 



$134,277 26 



Total income receipts 



m 



Sales of real estate under decree of court . . $ 5,620 00 



Shaw School of Botany, rent 3,900 00 



Stocks, bonds and certificate . . . ♦ . 26,563 06 36,083 06 



Total receipts 



$170,360 32 



Cash on hand, December 31, 1906 - . 7,731 04 



$178,091 36 



DISBURSEMENTS 



Garden Account, 



I 



Labor pay-roU $20,013 07 



Students' pay-roll 1,486 03 



Office assistance 1,575 00 



Fuel . 

 Water 



2,255 19 

 382 00 



Repairs and supplies . . . . . . . 2,062 66 



Plants and seeds 



501 12 $28,275 07 



Herbarium Account, 



942 84 



Salaries 

 Fuel . 



127 32 



Current expenditures 1,952 64 3,022 80 



Library Account, 

 Salaries . 

 Fuel . . . 



2,730 72 

 165 73 



Current expenditures 2,227 15 5,123 60 



OflSce Account, 

 Salaries . 

 Fuel . . . 



5,227 65 

 205 77 



Current expenditures 464 98 5,898 40 



Research Account, 



Salaries 1.748 10 



Current expenditures 609 97 2,358 07 



Carried forward $44,677 94 



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