XXII REPOET OF THE EXECUTIVE COMMITTEE. 



DISBURSEMENTS. 



General expenses: 



Books and binding $201. 05 



Drawings and illustrations 104. 81 



Electricity 33. 9.3 



Freight 160. 19 



Manuscrijjt 330. 00 



Miscellaneous 16. 89 



Postage and telegraph 15. 62 



Services 27. GO 



Si^ecial services 3-1. 00 



Specimens 1 , 057. 90 



Supplies 257. 83 



Traveling and tield expenses 444. 04 



Total disbursements $2, 682. 76 



Balance .July 1 , 1902 1. 93 



AMERICAN ETHNOLCHiY, 1900. 



Balance July 1, 1901, as per last report .'. . $5. 19 



Balance carried, under provisions of Eevised Statutes, section 3090, by the Treas- 

 ury Department to the credit of the sur])lus fund, Jime 30, 1902. 



NATIONAL MUSEUM— PRESEKVATION OF COLLECTIONS, 1902. 



RECEIPTS. 



Appropriation by Congress for the tiscal year ending June 30, 1902, "for 

 continuing the preservation, exhibition, and increase of the collec- 

 tions from the surveying and exploring expeditions of the Govern- 

 ment, and from other sources, including salaries or compensation of 

 all neces.«ary employees, $180,000, of which sum $5,500 may be used 

 for necessary drawings and illustrations for publications of the National 

 Museum, and all other necessary incidental expenses" (Sundry civil 

 a<-t, ]\larcli .3, 1901 ) $180, 000. 00 



EXPENDITITRES. 



[July 1, 1901, t(i .Time ;!0. 1902.] 



Salaries or compensation $161, 882. 99 



Special services 1, 815. 55 



Total services $163, 698. 54 



Miscellaneous: 



Drawings and illustrations $2, 147. 05 



Supplies 3, 505. 39 



Stationery ] , 753. 1 8 



Travel. 1, 919. 22 



Freight 1, 266. 84 



Total niisccllaiieous 10,591.68 



Total cxiiciKlitiires 174 290. 22 



Balance .luly 1, 1902, to meet outstanding lial)ilities 5,709.78 



