XL EEPORT OF THE EXECUTIVE COMMITTEE. 



BUILDING REPAIRS, 1901. 



RECEIPTS. 

 Balance as per report July 1, 1901 '. $884. 93 



EXPENDITURES. 



[July 1, 1901, to June 30, 1902.] 

 Special services $35. 00 



Total services $35. 00 



Miscellaneous: 



Lumber 30. 28 



Cement, plaster, cravel, lime, sand 110. 20 



Brick 09. 33 



Hardware, tools, etc 362. 30 



Paints, oils, brushes, etc 169. 85 



Woodwork 5. 65 



Glass 1. 35 



Terazzo and tile floors 15. 75 



Marble capping 25. 00 



Paper 1.25 



Steel plates, angles, etc 58. 93 



Total miscellaneous 849. 89 



Total regular 884. 89 



Balance July 1, 1902 .04 



Total .sfotement of receipts and i'X'penditures. 



[July 1, 1900, to June 30. 1902.] 



RECEIPTS. 



Appropriation by Congress June 6, 1900 $15, 000. 00 



EXPENDITURES. 



[July 1. 1900, to June 30. 1902.] 



Salaries or compensation $7, 661 . 44 



Special services 477. 85 



Total services $8, 139. 29 



Miscellaneous: 



Terazzo and tile floors 2, 052. 76 



Lumber 316. 85 



Cement, gravel, sand, etc 585. 80 



Hardware and tools 533. 09 



Paints, oils, brushes 399. 64 



Skylights and ventilator 240. 00 



Steel jilates, angles, i)anels, etc 1, 181. 02 



Drawings 281. 50 



Advertising 41. 26 



Travel 52. 35 



Woodwork 248. 27 



Bricks 1 28. 83 



