374 



Field Columbian Museum — Reports, Vol. i. 



Financial Statement. 



RECEIPTS AND DISBURSEMENTS 

 During Year Ending September 30, 1899. 



Receipts. 



Cash in Treasurer's hands Sept. 30, 1898, 



Petty Cash on hand, Sept. 30, 1898, 



Dues of Members — 



Corporate, ......$ 200.00 



Annual, 3,630.00 



South Park Commissioners, 



Interest on Investments, etc., 



Sundry Receipts, 



C. L. Hutchinson — balance, ......... 



Samuel E. Barrett — Special, 



Victor F. Lawson — Special, 



Watson F. Blair — Special, 



Norman B. Ream 



Sale of Guides, 



Admissions, 



Check Rooms, 



Sale of Securities, 



Disbursements. 



Salaries, 



Guard Service, 



Janitor Service, 



Fire Protection, 



Heat and Light — 



Wages of Engineers and Assistants, . . $3,174.84 



Fuel, 3,917.17 



Additions to Plant, 286.46 



Supplies 724.22 



Repairs and Alterations — 



Wages of Carpenters, Painters and Roofers, 8,963.05 

 Material Used — Paints, Oils, Hardware, 

 Glass, Lumber and Plaster, 1,597.86 



Carried Forward, 



$ 4,445-70 

 739-95 



3.830.0a 

 15,000. oo 

 21,589.87 



131-32 

 2,000 . 00 



1,000. CK> 



'900.00 



350.00 



2,500.00 



358.0a 



5,192.10 



I ,082.65 



79,000.0a 



$138,119.59 



$ 44,228.07 

 11,921.53 



7*320.93 

 2,836.00 



8,102.69 



10,560.91 

 % 84,970.13 



