148 IOWA DEPARTMENT OF AGRICULTURE 



Balance on hand Nov. 30, 1914 $ 968.73 



Warrants outstanding 689.41 



Cash balance in treasury Nov. 



30, 1914 $ 1,658.14 



REPORT OF TREASURER. 



G. S. GiLBERTSON. 



Gentlemen: 



I present herewith, report of receipts and disbursements for the fiscal 

 year, ending November 30, 1914, as follows: 



KECEIPTS. 



Balance on hand November 30, 1913 $ 18,759.32 



Received from sale of tickets and cash turnstiles 

 as follows: 



From cash turnstiles % 60,755.50 



29062 general admissions (50'c) 14,531.00 



2867 general admissions (25c after 5 p. m.) 716.75 



10900 children and half-fare (25c) 2,725.00 



1706 round-up tickets (50c) 853.00 



1224 campers at $2.00 each 2,448.00 



14 automobiles for week at $5.00 each 70.00 



30969 day amphitheater (reserve at 50c) . . 15,484.50 



2421 day amphitheater (box seats at 75c) . . 1,815.75 



21609 day amphitheater (bleachers 25c) 5,402.25 



3814 day amphitheater (quarter stretch 25c) 953.50 



20777 night amphitheater (reserved at 50c). 10,388.50 



1710 night amphitheater (box seats at 75c) 1,282.50 



22557 night amphitheater (bleachers 25c)... 5,639.25 



4821 night stock pavilion (50c) 2,410.50 



778 night stock pavilion (standing room) 



(25c) 194.50 



1529 exhibitors' tickets at $2.00 (sold by 



Secretary) 3,058.00 



Total ticket sales $128,728.50 



Received from Superintendents of Departments 

 as follows: 



Fees stallion registration division $ 10,666.50 



State appropriations 51,268.19 



Bills payable 20,000.00 



Fair Ground collections: 



Stall rent 344.15 



Pasture rent 122.95 



Miscellaneous collections 789.77 



Interest on monthly balance 247.97 



Secretary miscellaneous receipts 628.59 



Superintendent of Horse department 2,031.00 



Superintendent of Cattle department 1,159.00 



Superintendent of Swine department 997.00 



Superintendent of Sheep department 147.00 



Superintendent of Poultry department (coop 



rent) 366.75 



