XXXVIII 



REPORT OF THE EXECUTIVE COMMITTEE. 



Statement of total ej:j)eii<lititrc of apprupriation for heating, Ih/litinf/, etc. 



1S91, $12,000. 



Salarie-s 



Coal and wood 



Gas 



Telephou-es 



Electric work 



Electric supplies . . - . 

 Rental of call boxes. . 



Heating- repairs 



Heatiujj; supplies 



Travelling expenses. 



Total 



Balance 



From July 1, 



1890, to June 



30, 1891. 



$5, 084. 91 



2, 766. 96 



1,233.84 



604. 40 



7.50 



905. 68 



100. 00 



448. 95 



5.42 



From July 1, 



1891,toJuno 



30, 1892. 



Total to 

 J une 30, 1892. 



$46.20 

 74.75 



200. 25 

 32. 75 



384. 95 

 20. 00 



81.79 



. 157. 66 

 842. 34 



840. 69 

 1.65 



$5, 084. 91 



2,813.16 



1, 308. 59 



804. 65 



40.25 



1, 290. 63 



120. 00 



530. 74 



5.42 



11,998.35 

 1.65 



Postage — National Museum, 1889-90. 



Balance July 1, 1891 $500. 00 



Carried under the action ot Revised Statntes, section 3090, l)y the Treasnry De- 

 partment to the credit of the .surplus fund, June 30, 1892. 



NATIONAL ZofiLOOICAL PARK. 



Onjanization. Improvement, maintenanee. 



RECEIPTS. 



Balance July 1, 1891 $23, 441. 84 



EXPENDITUKES FROM Jl'I.Y 1, 1891, TO JUNE 30, 1892. 



Shelter of animals $1, 249. 96 



yiielter-barns, cages, fences, etc 312. 73 



Artificial ponds, etc 1, 032. 98 



Water supply, sewerage, and drainage (5, 342. 86 



Roads, walks, and bridges 4, 75.5. 81 



Miscellaneous supplies 867. 53 



Current expenses 7, 101. 63 



21, 663. 50 

 Balance July 1, 1892 . . . . , 1, 778. 34 



Stateinent of the total expenditure of the appropriation for the /ooloe/ieal I'ark, act 



of April 30, 1890. 



