456 Field Columbian Museum — Reports, Vol. i. 



Financial Statement. 



RECEIPTS AND DISBURSEMENTS 

 During Year Ending September 30, 1900. 



Receipts. 



Cash in Treasurer's hands, Sept. 30, 1899, $ 1,068.14 



Petty Cash on hand, Sept. 30, 1899, 739-95 



Dues of Members — 



Corporate, $ 180.00 



Annual Members, 3,340.00 3,520.00 



South Park Commissioners, 15,000.00 



Interest on Investments, . 8,034.43 



Sundry Receipts, 1,694.40 



Admission and Check Rooms, 8,192.25 



Sale of Guides, 290.75 



Cyrus H. McCormick — Caldera Collection, .... 250.00 



Martin A. Ryerson — Thiessing Collection, 873.79 



William J. Chalmers — Crystal Collection, ...... 389.00 



Sale of Securities, • 85,000.00 



$125,052.71' 



Disbursements. 



Salaries, $45,677.70 



Guard Service, 11,910.75 



Janitor Service, 6,905.23 



Fire Protection, 2,817.47 



Heat and Light — 



Wages $3,217.12 



Fuel and Supplies, 4,338.88 



Additions to Plant, 355-77 7>9H-77 



Repairs and Alterations — 



Wages of Carpenters, Painters and Roofers, 9,429.85 

 Material Used — Paints, Oils, Hardware, 



Glass, Lumber and Plaster, 1,971.87 11,401.72 



Carried forward, $86,624.74 



