XLVIll REPORT OF THE EXECUTIVE COMMITTEE. 



NATIONAL MUSEUM — I'UESKltVATION OK COULEOTIONS, 1902. 



Balance as per report July 1, 1903 $159. 16 



EXPENDITURES. 



Supplies $74.48 



Freight and cartage 2<>. 04 



Total expenditure to June 30, 1904 100.52 



58.64 

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

 Treasury Department to the credit of the surplus fund June 30, 1904. 



PRESERVATION OF COLLECTIONS, I!)02. 



Total xliiteDinit of rcccipin and c.ippiidifKren. 



IJnly 1, inoi. U, June :iO, 1904.] 



KECEIPTS. 



Appropriation l>y Congress, March 3, 1901 $180,000.00 



EXPENOrrURES. 

 1. Tilly 1. 1901, to June .''.n, 1904.] 



Salaries or compensation $161,897.99 



Special services 2.255.30 



Total services $164,153.35 



Miscellaneous : 



Drawings and illustrations ' $2,787.83 



Supplies -, 6,008.47 



Stationery 2.663.02 



Travel 2,021.21 



Freight 1.707.48 



Total miscellaneous expenditures 15,788.01 



Total expenditure to June 30, 1904 179,941.36 



Balance 58. 64 



NATIONAL MUSEUM— FURNITURE AND FIXTURES. 1904. 

 RECEIPTS. 



Appropriation by Congress for the fiscal year ending June 30. 1904, 

 for "cases, furniture, fixtures, and appliances recpiired for the 

 exhihitif)n and safe-keeping of the collections of the National 

 Museum, including salaries or compensation of all necessary em- 

 ployees " (sundry civil act, March 3, 1903) - $22,500.00 



EXPENDITURES. 



Salaries or c(»mpensati(>n $9,915.81 



Special services . 53.25 



'i'olal salaries and services .$9,9(59.06 



IMiscella neons : 



Storage cases 2, 2.56. 26 



Drawings 50.88 



Drawers, trays, boxes 2,200.53 



Frames, stands, miscellaneous woodwork.- 100.40 



