594 



Transactions of the 



FINANCIAL EEPORT. 



The following is a statement of the receipts and expenditures for the year. 



Item. 



Amount. 



8345 73 



Receipts. 



Balance in the treasury December 6th, 1873, as per report. 

 Collection from sureties of lessee of track for the year 



1873 



Season tickets sold.. 



Single tickets sold 



Life mem bersh i ps 



Entries to races 



Privileges at track and hall 



.Receipts for admission to grand stand 



Quarter stretch badges sold at track 



Subscriptions for building new track and stand 



Subscriptions for special premiums 



Subscriptions for special race October 3d 



Hay sold 



Total receipts 



Expenditures. 



Balance due for the year 1873, as per last report 



Permanent improvements in budding of a new stand for 

 spectators, a new race track, new stalls, and repairs on 

 s tal Is, etc .' 



General expenses, including rent of hall, music, gas and 

 gas-fitting, salaries, wages of emplo} T es, labor, decora 

 tions, printing, advertising, etc 



Premiums, including trials of speed , 



Entrance money to races refunded 



Total expenditures 



Balance in hands of Treasurer 



Total 



$148 53 



7,688 62 



3,089 26 



2,944 50 



65 00 



$13,935 91 



249 72 



$14,185 63 



