Jan., 191 2. Annual Report of the Director. 



Disbursements 



Salaries 



Guard Service 



Janitor Service 



Fire Protection 



Heat and Light — 



Wages $ 4,012.10 



Fuel 6,628.70 



Supplies, Gas, etc 1,236.48 



Repairs and Alterations — 



Wages of Carpenters, Painters, Roofers, etc. . $10,895.03 

 Material used — paints, oils, glass, lumber, plaster, 



etc 1,465.80 



Furniture and Fixtures .^^^. %j 



The Library— '■''^' ■•>-.■;:•" 



Books and Periodicals . ■i?W,>^'f''*'is!;y .. . $1,601.84 



Binding '^"^ ."''^ . . . 671.65 



Sundries 66.67 



Sections of Printing and Photography 



Collections, etc.. Purchased 



Departmental Expenses 



Expeditions 



Publications 



General Expense Account — 



Freight, Expressage and Teaming $4,235.81 



Stationery, Postage, Telephone, etc 1,062.60 



Northern Trust Company, Custodian Fee . . 346 . 78 



Lecture Course Expenses 1,069.13 



Sundries 1,106.28 



Field-Sprague Ornithology Fund 



Standard Oil Fund 



Joseph N. Field South Pacific Islands Fund . 



Stanley McCormick Hopi Fund 



New Building Moving and Furnishing Fund . 



Mrs. T. B. Blackstone Fund 



In Treasurer's hands, December 31, 191 1 " . . . . 



Petty Cash on hand December 31. 191 1 



New Building Moving and Furnishing Fund Investment 

 New Building Moving and Furnishing Fund Income 



Investment 



Joseph N. Field South Pacific Islands Fund Investment . 

 Marshall Field Endowment Sinking Fund Investment . 

 Byron L. Smith, Treasurer, Marshall Field Endowment 



Sinking Fund 



139 



$89,719.90 



13,466.46 



8,042.44 



3.948 98 



11,877.28 



12,360.83 



11.425-75 



2,340.16 



1,174.91 

 3,614.81 



5.515-31 

 1,658.89 

 1,282.01 



7,820.60 



