EIGHTH ANNUAL YEAR BOOK— PART IV. 173 



STATEMENT OF ACCOUNT. 



BECEIPTS AKD DISBURSEMENTS FOE THE FISCAL YEAE ENDING NOV. 30, 1907. 



RECEIPTS. 



Cash balance on hand Dec. 1, 1906 $ 50,294.87 



From collections by superintendent of fair grounds.? 2,227.68 



From state appropriation for swine barn 75,000.00 



From state appropriation for insurance 1,000.00 



From fees, division of horse breeding 2,092.50 



From interest 1,132.16 $ 81,452.34 



By receipts from 1907 State Fair exposition — 



From rental of space. Exposition building $ 2,107.50 



From rental of space, Machinery Department. . . . 1,184.50 



From rental of space, Dairy Department 693.37 



From rental of space, Agricultural Department. . 263.28 



From rental of stalls. Horse Department 616.00 



From rental of stalls. Cattle Department 987.00 



From rental of pens. Swine Department 1,175.00 



From rental of pens and coops. Sheep and 



Poultry Departments 302.10 



From rental of light and power 321.00 



From sale of concessions 13,973.75 



From advertising in premium list 431.00 



From forage 3,548.05 



From entry fees, speed department 4,350.80 



From exhibitors' tickets 2,340.00 



From Am. Short-Horn Ass'n special premiums. . 750.00 



From Am. Hereford Ass'n special premiums 479.61 



From sale of tickets 70,544.90 



From miscellaneous sources, by secretary 288.89 $104,356.75 



Total receipts $236,103.96 



DISBURSEMENTS. 



To expense warrants paid — 



Issue of 1906 and former years $ 79.68 



Issue of 1907 165,142.09 $165,221.77 



To premium warrants paid — 



Issue of 1906 and former years $ 152.50 



Issue of 1907 35,401.79 35,554.29 



Total cash balance in treasury, Nov. 30, 1907 35,327.90 



Total disbursements $236,103.96 



