(3o6) 



SCHEDULE OF EXPENDITURES DURING 1901, UNDER 



APPROPRIATIONS MADE BY THE 



BOARD OF MANAGERS. 



1. City Maintenance Account $55,000.00 



Salaries and Labor. 



Appropriated 43,046.75 



Expended 43,046.75 



Supplies and Repairs. 



Appropriated 11,953.25 



Expended 11,953.25 



Total Expended 55,000.00 



Construction and Improving the Grounds... 9,999.87 



Total Expended 9,999.87 



2. Garden Accounts. 



Museums and Herbarium. 



Appropriated 2 ,500.00 



Expended 2,489.91 



Transferred to Special Assistance 10.00 2,499.91 



Balance .09 



Library. 



Appropriated 1,325.00 



Transferred from Circulars for Membership 99-40 1,424.40 



Expended " 1,423.98 



Balance .42 



Laboratories. 



Appropriated 1,000.00 



Expended 999.80 



Balance .20 



