XLVIII REPORT OF THE EXECUTIVE COMMITTEE. 



Wages of mechanics, lal)orers, etc — Continued. 



1 horse and cart, 4 days, at $1.60 $(>. 40 



1 horse and cart, 81 1 days, at $1.50, and 18 



days, at $1.60 148. 23 



1 horse and cart, 94 days, at $1.50, and 55 



days, at $1.60 229. 00 



1 horse, 339 days, at 50 cents 169.50 



Total wages of mechanics, etc $23, 996. 85 



Total disbursements $74, 514. 77 



Balance July 1, 1902 5. 485. 23 



NATIONAL ZOOLOGICAL PARK, 1901. 



Balance July 1, 1901, as per last report $9, 802. 29 



DISBURSEMENTS. 



General expenses: 



Buildings $884. 42 



Building material 8. 30 



Fencing, cage material, etc 2, 543. 41 



Food 1, 056. 97 



Freight 498. 57 



Fuel 24. 00 



Furniture 187. 60 



Lumber 249. 60 



Machinery, tools, etc 169. 22 



Miscellaneous 230. 42 



Paints, oils, glass, etc ' 55. 76 



Postage, telegraph, and telephone 81. 63 



Road material and grading 2, 928. 40 



Stationery, books, printing, etc 397. 07 



Surveying plans, etc 414. 00 



Traveling and field expenses 28. 05 



Trees, plants, etc 19. 30 



Water supply, sewerage, etc 8. 29 



Total disbursements 9, 785. 01 



Balance July 1, 1902 17. 28 



NATIONAL ZOOLOGICAL PARK, 1900. 

 Balance July 1, 1901 , as per last report $394. 30 



DISBURSEMENTS. 



General expenses: 



Buildings $110. 61 



Fencing, etc. 13. 45 



Freight 179. 08 



Machinery, etc 37. 91 



Miscellaneous 13. 31 



Surveying, plans, etc 25. 00 



379. 36 



Jialancc '. 14. 94 



Balance carried, under provisions of Revised Statutes, section 3090, by the Treasury 

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



