(79) 



REPORT OF THE TREASURER. 



New York, January 14, 1901. 



To the Board of Managers of 



the New York Botanical Garden. 



Gentlemen : 



Herewith I submit a statement of my Receipts and Dis- 

 bursements during the year 1900 and a Balance Sheet from 

 my ledger as of December 31, 1900. 



Respectfully yours, 



C. F. Cox, Treasurer. 



Receipts. 



Balance of Cash brought over from 1899 $14,099.55 



Fixed Income : 



3 per cent, on $110,000 N. Y. City 

 Bonds...., $3,300.00 



4 per cent, on $50,000, Erie R. R. Co. 



Prior Lien Bonds 2,000.00 



4^ per cent, on $50,000, Ches. & 



Ohio R. R. Co. Genl. Mtge. Bonds 2,250.00 



5 per cent, on $50,000, Southern Ry. 



Co. First Consol. Bonds, 2,500.00 10,050.00 



Appropriations of the City for Maintenance 38, 14 7.69 



Annual Dues 8,180.00 



Interest @ 3 per cent, allowed by J. P. 

 Morgan & Co. on cash balance with 



them 274.04 



Proceeds of Merchandise sold 28.30 



Proceeds of Publications sold 1 68.95 



Life Membership Fees 1,700.00 



Tuition Fees — Credited to Students' Re- 

 search Fund 543-5° 



Contributions to Conservatory Fund (for 



living plants) 2,110.00 



Contribution from Mr. Wm. E. Dodge for 



purchase of Exhibition Microscopes. 665.50 



$75,9 6 7-53 



