XVIII REPORT OF THE EXECUTIVE COMMITTEE. 



Stiilcinait iif ri'rcipt^ iiiid cxjicndHiiren from Jnln 1, 1901, to .limr .10, 1902. 



KECKII'TS. 



Cash on hand July 1, 1901 $88, 963. 26 



Interest on fluid July 1, 1901 $27, 360. 00 



Interest on fund Jan. 1 , 1902 27, 360. 00 



54, 720. 00 



Interest t( > Jan. 1 , 1902, on West Shore bonds 1, 680. 00 



$140, 363. 26 



Cash from sales of pu))lications 301. 85 



Cash from repayments, freight, etc 10, 109. 24 



10,411.09 



Total receipts 150, 774. 35 



E.VPEXDITl'IiES. 



Building: - 



Repairs, care, and im2)rovements $8, 31 1. 67 



Furniture and fixtures 2, 604. 32 



$10, 915. 99 



General expenses : 



Postage and telegra])h 185. 36 



Stationery 1, 128. 03 



Incidentals ( fuel, gas, etc. ) 4, 851. 29 



Library (books, periodicals, etc. ) 2, 593. 22 



.Salaries" 23, 144. 93 



Gallery of art 127. 43 



Meetings 269.49 



32, 299. 75 



rubli(;ations and researches: 



Smithsonian contributions 16. 00 



Miscelloneous collections 2, 250. 15 



Reports 2, 548. 05 



Researches 5, 497. 63 



Apparatus 1, 173. 29 



Hodgkins fund 4, 928. 52 



Bell and Kidder nui.i 5, 565. 75 



21,979.39 



Jjiterarv and scientific exchanges » 4, 458. 31 



69,653.44 



Balance unexpended June 30, 1902 SI, 120, 91 



The cash received from the sale of publications, from repayments, 

 freights, etc., is to be credited to the items of expenditure, as follows: 



Smithsonian contributicMis $28. 70 



Miscellaneous collections 232. 49 



Reports 40. <)(> 



$301.85 



Exchanges 6, 463. 49 



Incidentals 2, 145. 75 



Researches 1, dOO. 00 



$10,411.09 



«In addition to the above $23,144.93, paid for salaries under general expenses, 

 $11,056.05 were paid for services, viz, $4,036.31 charged to building account, 

 $1,030.50 to furniture and fixtures account, $2, 722.38 to researches accomit, 

 $1,387. 62 to ID )rary account, $853.78 to apparatus account, and $1,025.46 to Hodg- 

 kins-funil account. 



