CHICAGO NATURAL HISTORY MUSEUM 



COMPARATIVE STATEMENT 



OF RECEIPTS AND EXPENDITURES 



CURRENT FUNDS 



FOR THE YEARS 1958 AND 1957 



GENERAL OPERATING FUND 



RECEIPTS: 1958 1957 



Endowment income — 



From investments in securities $ 376,185 $ 352,608 



From investments in real estate 428.280 404,118 



$ 804,465 $ 756,726 



Chicago Parli District— tax collections $ 232,406 $ 238,704 



Annual and sustaining memberships 28,925 30,825 



Admissions 40,398 34,959 



Sundry receipts, including general purpose contri- 

 butions 69,573 56,144 



Restricted funds transferred to apply against 



Operating Fund expenditures (contra) 212,741 107,831 



$1,388,508 $1,225,189 



EXPENDITURES: 



Operating expenses — 



Departmental operating expenses $ 548,329 $ 521,157 



General operating expenses 438,007 423,919 



Building repairs and alterations 127,997 116,628 



$1,114,333 $1,061,704 



Collections — 



Purchases and expedition costs $ 191,899 $ 62,816 



Furniture, fixtures and equipment 10,884 25,545 



Pension and employees' benefits 73,240 69,301 



Provision for mechanical plant depreciation 



(contra) ;^ 10,000 



$1,390,356 $1,229,366 



DEFICIT FOR YEAR before special appropriation $ 1,848 $ 4,177 



Appropriation from restricted funds to cover 1957 



deficit 4,177 



DEFICIT FOR YEAR $ 1,848 



* The annual appropriation of $10,000 in 1958 was offset by expenditures for 

 elevator reconditioning 



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