REPORT OK THE EXECUTIVE COMMITTEE. 



XXXVII 



Sl<(triiinil of lolal csiiindititrv of appnipridlinii J'ur l'i(niili(ie iiiiil fi .r t iinn , IS'Jl. 



Salaries 



Exhibition casi'S. 



DcsigDs and drawings 

 Drawers, trays, boxes 



Frames, stands, etc 



Glass 



Hardware 



Tools 



Cloth, cotton, etc 



Glass jars 



Lumber 



Paints, oil, and brushc 



Office furniture 



Metals 



Rubber goods 



Iron brackets 



Apparatus 



Travelling expenses... 

 Plumbing 



j Total 



Balance 



Prom July 1, From .Inly], 

 1890, to June ' 1891 , to .1 uiic , ' "?;'' }" 

 :!0,1891. :id,189-J. J'i""-iU-l>'9^ 



Hcalinij (IikI li</htiiiij, etc.. LSUU. 



Balance July 1, 1S91, as per last annual report $1. 85 



Carii<'<l under the aotiou t)f Revised Statutes, .section 3000, l)y the Treasury De- 

 partment to the credit of the surplus I'und, .June I'.O, 1892. 



Hi(ttih<i. lif/hiiiififiJeilric. kikI Iclcphonic Kervicc, 1,S91. 



Balane-e .Inly 1, l!S91, as jier last annual report $842.34 



Exi>en(litures from July 1, 1891, to June 30, 1892: 



Coal and wood $46. 20 



Gas 74.75 



Telephones 200. 25 



Electrify work 32. 75 



Electrics sui)plies 384. 95 



IJental of call hoxes 20. 00 



lleatini^ sui)i>lies 81. 79 



Total ex]>eiidit ure 840. 69 



lialance .liily !, 1892 1.65 



