XXVIII REPORT OF THE EXECTTTIVE COMMITTEE. 



Miscellaneous: 



Drawings and illustrations $425. 77 



Supplies 1, 469. 71 



Stationery 460. 62 " 



Travel 1, 771. 21 



Freight 813. 74 



Total miscellaneus ?4, 941. 05 



Total expenditure $6, 433. 43 



Balance July 1, 1902 74. 49 



Analysi.'t of expenditures for salaries or coinpeiisotion. 



[July 1, 1901. to .Tune otX 1902.] 



1 collector, 2 months, at |100 $200. 00 



1 collector, 1 month 125. 00 



1 cai)tain of the watch, 1 day, at $3 3. 00 



Total expenditure $328. 00 



Total siaiement <f receipts mid e.rjienditures. 



[July 1, 1900, to June ;)0, 190'2.] 



RECEIPTS. 



Appropriation l)y Congress, June 6, 1 900 $180, 000. 00 



EXPENDITURES. 



Salaries or compensation $159, 174. 45 



Special services 5, 190. 14 



Total services $164, 364. 59 



Miscellaneous: 



Drawings and illustrations 2, 436. 30 



Supplies 6, 086. 85 



Stationery 1, 751. 99 



Travel 3, 490. 19 



Freight 1, 795. 59 



Total nnscellaneous 15, 560. 92 



Total expenditure 179,925. 51 



I'.alance July 1, 1902 74. 49 



PRKSERVATION OK COLLKCTIONS, 1900. 



RECEIPTS. 

 Balance as i)er rci)ort July 1, 1!H)1 $331.39 



E.XPENDlTriiES. 



[July 1. 1901, to .Tune ;!U, 1902.] 



Supplies $108. 05 



Freight and cartage 14. 03 



