REPORT OF THE EXECUTIVE COMMITTEE. XXXVII 



Xational Zoolotji<<il Park — improvrmenix, 1S92. 



Balance July 1, 1892, as per last annual report $121. 34 



Expenditures July 1, 1892, to June 30, 1893: 



Hardware $7. 54 



Plans and drawings 100. 00 



Trees, shrubs, plants, etc 8. 80 



116.34 



Balance July 1. 1893. to meet outstandino; liabilities 5.00 



Staiemeiii of llie tuful fxpendUure of the opprojniation for the National Zoological 

 Park: — Improrements, 1S9-2. 



[Appropriation, $15,0(10, .ict Marcli 3, 189"..] 



From July 1, 



1891, to June 



30, 1892. 



Building bridge (coutract) .$1,742.50 



Building material 544. 17 



Freight ' 74. 00 



Hardware ' 17. 20 



Lumber ' 333. 09 



Salaries or compensation 8, 181. 84 



Settees, etc 420. 00 



Supplies 81 . 95 



Surveying, plans, and drawings 2, 961. 79 



Tools and implements 173. 77 



Traveling expenses, etc G8. 50 



Trees, plants, and fertilizers 279. 85 



Total 14, 878. 66 



Balance July 1, 1893, to meet outstanding liabilities 



From July 1, 



1892. toJtine 



30, 1893. 



$7.54 



100. 00 



Total to 

 June 30, 1893. 



$1, 



742. 50 

 544. 17 



74.00 



24. 74 

 333. 09 

 181.84 

 420. 00 



81.95 

 061. 79 

 173. 77 



68.50 

 288. 65 



14, 



995. 00 

 $5.00 



Nutiottid Xoolof/udl I'ork : — Mahttetunice, 1892. 



Balance July 1, 1892. as per last annual report $1, 386. 5( 



Expenditures from July 1, 1892, to June 30, 1893: 



Coal and wood 180. 01 



Draft-horses - 365. OC 



Food and animals 189. 28 



Freight and hauling 2. 65 



Miscellaneous expenses 99. 02 



Plans, drawings, etc 200. 00 



Specimens 296. VI 



Stationery and printing 16.81 



Telephones 37. 5G 



1, 386. 5C 



