Jan., 1908. Annual Report of the Director. 145 



Financial Statement. 



GENERAL ACCOUNT. 



RECEIPTS AND DISBURSEMENTS 

 From January 1, 1907, to December 31, 1907. 



Receipts. 



Cash in Treasurer's hands, Deceniber 31, 1906. . . $ 39,741 .48 



Petty Cash on hand, December 31, 1906 .... 739-95 

 Dues of Members — 



Corporate $ 20.00 



Annual 1,900.00 1,920.00 



Admissions and Check Rooms 5,695.90 



Sale of Guides . . . 145-75 



South Park Commissioners 15,000.00 



Huntington W. Jackson Library Fund .... 40.00 



Interest on Temple Bonds 37-795-77 



Field Endowment Income 107. 333 -33 



Dividend Illinois Trust & Savings Bank Stock . . 7,932.00 



Interest on Calumet Club Bonds 360.00 



Interest on Daily Balances 587.98 



Sundry Receipts 73 -60 



R. F. Cummings Philippine Fund 4,000.00 



Donations — United States Gypsum Company, . . 25 .00 



$221,390.76 



