LIV REPORT OP THE EXECUTIVE COMMITTEE. 



EXPENDITURES. 



[July 1. 1903, to June 30,- 1904.] 

 Rent of workshops : 



431 Ninth street SW-_ $1,999.92 



217 Seventh street SW 1.080.00 



309 and 313 Tenth street SW 9G0. 00 



915 Virginia avenue (rear) 3G0. 00 



Total oxiienditiire to June .30, 1904 $4,399.92 



Balance July 1, 1904 . 08 



NATIONAL MUSEUM— RENT OF WORKSIIOr, 190.3. 



Balance as per report .Tuly 1, 1903 $0.08 



Balance July 3. 1904 .08 



NATIONAL MT'SEUM— KENT OP WORKSHOP, 1902. 



Balance as per report July 1. 1903 $0.08 



Balance carried, under jn-ovisions of Revised Statutes, section 3090, by the 

 Treasury Dejiartnient to the credit of the suri)lus fund June 30, 1904. 



NATIONAL MUSEF.M— P.UILDIN(; HEI'AIUS. 1904. 



RECEIPTS. 



Aj)pi-opriation by Congress for the fiscal year ending June 30, 1904, 

 " for repairs to buildings, shops, and sheds. National Museum, 

 including all necessary labor and material " (sundry civil act, 

 March 3, 1903) 1 $15,000.00 



EXPENDITURES. 



Salaries or compensation .$9,960.86 



Special services • 50.00 



Total salaries and services $10,010.86 



Miscellaneous : 



Repairs to roofs (by contract) 1.0.33.20 



Galvanized-iron ceiling cornice 480.78 



Lumber . 93. 32 



Cement, plaster, mortar, brick, sand, etC- 86.45 



Hardware, tools, etc 298.38 



Paints, oils, glue, brushes 275.97 



Skylight 63. 60 



Glass 41.25 



Drawings 40.00 



("loth, etc 270.00 



Terrazzo iiavemcnt 66.00 



Plumbing material 11.21 



Rubber, etc 15.90 



Total niiscellaneou'-; exjtendiUire 2,520.82 



Total ex])enditni-e to Jtnie .30. 1904 12.531.68 



Balance July 1, 1904. to meet outstanding li.abilities 2.468.32 



