REPORT OF THE EXECUTIVE COMMITTEE, XXXVII 



RENT OF workshop;-! 

 Balance July 1, 1901 ., $0. 08 



Balance July 1, 1902 08 



RKNT OF WORKSHOPS, 1900. 



Balance as per report July 1, 1901 ?0. 08 



Balance carried, under provisions of Revised Statutes, section o090, by tiie Treasury 

 Department to the credit of the surplus fund, June 30, 1902. 



NATIONAL MUSEUM— BUILDING REPAIRS, 1902. 



KKCEIPTS. 



Appropriation l>y Congress for the fiscal year ending June ;!0, 1902 

 (sundry civil act, March 3, 1901): 



"For repairs to buildings, shops, and sheds. National Museum, 



including all necessary labor and material" ?15, 000. 00 



"For removing old boilers in the National Museum building, and 

 for the purchase and installation of new boilers, including 

 material and labor for necessary alterations and connections " 12, 500. 00 



Total 27, 500. 00 



EXPENDITl'KES. 

 [July 1, 1901, to June 30, 1902 



Salaries or compensation $9, 512. 29 



Special services 649. 35 



Total services $10, 1(51. 6-4 



Miscellaneous: 



Lumber 532. 51 



Cement, plaster, gravel, lime, sand . 339. 05 



Hardware, tools, etc 697. 32 



Paints, oils, brushes, etc 421. 47 



AVood >vork 1 64. 30 



Skylights and ventilators 5(i6. 40 



Glass 56. 27 



Marble mosaic floor and tiles 192. 72 



Sewer connections 200. 00 



Drawings 85. 00 



Cloth, cotton 6. 19 



Pai)er 57. 85 



Total miscellaneous 3, 319. 08 



Total expenditure, regular a^jpro^jriation $13, 480. 72 



New h()ilrrt<. 



Salaries or compensation $2, 801. 93 



Special services 31. 61 



Total services $2, 833. 54 



Miscellaneous: 



Advertising 35. 63 



Drawings 12. 75 



