Oct., 1903. 



Annual Report of the Director, 



.91 



Financial Statement. 



Receipts and Disbursements 

 During the Vc.tr Ending September 30, 1903. 



Cash in Treasurer's hands, September 30, 1902 

 Cash in Treasurer's hands, September 30, 1902 



ial Fund) 



P< tty Cash on hand, September 30, 1902 

 rs — 



Corporau . 



Annual, 

 Admissions and Check Rooms. 



Sale of Guides. 



South Park Commission. 



Chicago City Railway Co 



Sundry Receipts, 



Interest on Investments, etc., 



Sale of Securities 



I >< nations — 



li j Mi irmick (Spi 



W. J Chalmi al), 



1 llSBURSEMENTS. 

 Salaries, 

 Guard Service, 

 Janitor Service, . . 



Fire Protection 



Hi at and Light — 



Wages, 



Fuel and Supplies, 

 Additions to Plant, 

 Ri pairs and Alterations — 



Wages of Carpenters, Painters, 

 Roofers, . . . 

 ti rials used - Paints. < )ils 

 Lumbei 



Carried forward, .... 



IS.00 



2.545-°° 



1,900.00 

 10.00 



^7.26 



4.9°7 74 



9,223.92 

 1,606.85 



^9.66 



983.64 

 739-95 



2,6So.oo 



7.40465 



262.25 



15.000.00 



2.250.00 



771-74 

 50,261.59 

 67,000.00 



1,910.00 

 Si53.443-48 



60.14; ;S 

 11,839.87 



6,288.04 

 2.954-7 



S, 526. 02 



10,830.77 



Sioo, 586.55 



