Jan., 1915. Annual Report of the Director. 399 



Financial Statement 



RECEIPTS AND DISBURSEMENTS 

 January 1, 1914, to December 31, 1914 



Receipts 



Cash in Treasurer's hands, General Fund, December 31, 191 3 . . $11,690.37 

 Cash in Treasurer's hands, Endowment Sinking Fund, December 31, 



1913 180.00 



Cash in Treasurer's hands, New Exhibition Cases Fund, December 31, 



1913 930.75 



Petty Cash on hand, December 31, 19 1 3 739-95 



Dues of Life Members 500.00 



Dues of Annual Members 1,090.00 



Admissions and Check Rooms 5,526.50 



Sales of Guides 158.75 



South Park Commissioners 15,000.00 



Interest on Investments and Bank Balances 9,609.62 



Field Endowment Income 136,500.00 



Field Endowment Sinking Fund 500 . 00 



Field Endowment Sinking Fund Income 160.00 



New Exhibition Cases Fund 3,500.00 



New Exhibition Cases Fund Investments retired 53>7 r 3-67 



New Exhibition Cases Fund Income 1,913.09 



Stanley Field Ornithology Fund 1,200.00 



Mrs. T. B. Blackstone Fund 900.00 



Huntington W. Jackson Library Fund 40 . 00 



Donations — George Manierre 500 . 00 



Life Memberships Fund Income 292.45 



Life Memberships Fund Investments retired 4,500.00 



Sales of Picture Postal Cards 433 . 34 



Sundry Receipts 72.02 



$249,650.51 

 Disbursements 



Salaries $73-489-35 



Guard Service 12,208.03 



Janitor Service 7,121.35 



Fire Protection 6,124.50 



Heat and Light: 



Wages $4,102.00 



Fuel 6,967.78 



Gas 459 04 



Renewals, supplies, and sundries 906.71 12,435.53 



