L REPORT OF THE EXECUTIVE COMMITTEE. 



EXPENDITURES. 



Miscellaneous : 



Drawers, trays, boxes $288.98 



Frames, stands, miscellaneous woodwork 31.75 



Glass ^ 335.72 



Hardware 231. 49 



Cloth, cotton, etc 28.55 



Lumber .310.95 



I'aints, oils, etc 187.79 



Office and ball furniture, etc 210. G5 



Rubber, leatber, etc 9.11 



Plumbing material .75 



Slate 41.92 



Total expenditure to June 30, 1904 $1, 683. GG 



Balance July 1, 1904 12.58 



Total statement of receipts and exiwnditures. 



[July 1, 1902, to July 1, 1904.] 



RECEIPTS. 



Appropriation by Congress, June 28, 1902 $22,500.00 



EXPENDITURES. 



Salaries $12,342.35 



Special services 14.60 



Total services $12,356.95 



Miscellaneous : 



Cases, .storage $2,266.00 



Cases, exhibition 881.00 



Drawers, trays, etc 1,133.50 



Frames and woodwork 775. G6 



Glass 787.76 



Hardware 665.15 



Tools 17.48 



Cloth _ 65.68 



Lumber 907.74 



Paints, oils, etc 447.41 



Ofilce and hall furniture 1,689.03 



Leatlier, ruliber, cork 274.44 



Drawings 4.00 



Slate 100.72 



Travel 114.15 



Plumbing material.. .75 



Total miscellaneous expenditure 10,130.47 



Total expenditure to June 30, 1904 22,487.42 



Balance July 1, 1904 12.58 



