LXIV REPORT OF THE EXECUTIVE COMMITTEE. 



Wages of mechanics and laborei's, etc. — Cont'd. 



1 horse and cart, 32f days, at $1.75 .$r)7. 31 



1 horse and cart, 73i days, at $1.75 128.63 



1 horse and cart, 15f days, at $1.75 27. 56 



1 horse. 337 days, at 50 cents 168. 50 



Total wa.s,'es of mechanics, etc $30,042.52 



Total disbursements $80,565.03 



Balance July 1, 1!)04 14,434.97 



NATIONAL ZOOLOGICAL PARK, 1903. 



Balance July 1, 1903, as per last report $4,755.04 



DISBURSEMENTS. 



General expenses : 



Buildings $104.70 



Fencing, cage material, etc 829.89 



Food ^ 1,246.29 



Freight and transportation of animals 370.50 



Fuel 546.80 



Furniture 3.50 



Lumber 301.52 



Machinery, tools, etc 170.31 



Miscellaneous supplies 252.42 



Paints, oils, glass, etc 65.51 



Postage, telegraph, and telephone 87.67 



Purchase of animals 160. 13 



Road material and grading 179.46 



Stationery, books, etc 60.65 



Travel 53.30 



Trees, plants, etc 7.35 



Water supply and sewerage 109.42 



Special services 2.00 



Total disbursements ' 4,551.42 



Balance July 1, 1904 203.62 



NATIONAL ZOOLOGICAL PARK, 1902. 



Balance July 1. 1903, as per last rej)ort $7.26 



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

 Treasui-y Department to the credit of the suri>Uis fund June 30, 1904. 



ELEPHANT HOL'SE, NATIONAL ZOOLOGICAL PARK, 1903. 

 Balance July 1, 1903, as per last report $64.40 



DISBURSEMENTS. 



General expenses : 



Building material $27. 09 



Fencing 36.77 



Total disbursements 63.86 



Balance July 1, 1904 .54 



