Jan., 1916. Annual Report of the Director. 35 



Disbursements 



Salaries $70,511.91 



Guard Service 11,955.87 



Janitor Service 6,757.51 



Fire Protection 4,306 . 72 



Heat and Light 12,125.73 



Repairs and Alterations: 



Wages — Carpenters, Painters, Roofers, etc. . . $7,715.41 



Materials used — lumber, paints, oils, glass, etc. . 1,179.03 8,894.44 



Furniture and Fixtures — Cases 10,263.44 



The Library: 



Books and Periodicals 1,091.37 



Binding 588.71 



Svmdries 89 05 1,769.13 



Collections, etc., purchased 37.351-92 



Installation expense 2,291.83 



Expeditions 4,300.00 



Publications 1,778.50 



Sections of Photography and Printing — Supplies . . 353 . 68 



General Expense Account: 



Freight, Expressage and Teaming 2,204.13 



Stationery, Postage and Telephones 747 . 45 



Liability Insurance 663 . 52 



Picture Postal Cards 645.27 



Simdries 889.95 51I50.32 



Stanley Field Ornithology Fund 724.75 



Woman's Temple Building Association — Foreclosure 



Expenses 2,407.18 



H. W. Jackson Library Fund — Investments ... 68 . 70 



New Building Moving and Furnishing Fund — Invest- 

 ments 7,245.00 



Life Memberships Fund — Investments i ,666 . 63 



Endowment Sinking Fund — Investments .... 1,509.26 



Picture Postal Cards — Certificate of Deposit . . . 375 . 60 



In Treasurer's hands, December 31, 1915: 



General Fvmd 4,126.39 



New Exhibition Cases Fund 9I7-7I 



Endowment Sinking Fund 36.00 5,080.10 



Petty Cash on hand, December 31, 19 1 5 739-95 



$197,628.17 



