APPENDIX VIII. 

 b'iNANOK, Property, Supplies, and Accounts. 



J^Hjropriations and expenditures for the fiscal year vndimj June 30, 1SD7. 



Object. 



Preservation of collections 



Furniture and fixtures 



Heating, lighting, and electrical service . . . 



Postage 



BuiUliug repairs 



Eent of work8ho])s 



Galleries ■ - 



Printing 



Total 



Appropriation. 



$153, 225. 00 



15,000.01) 



13, 000. 00 



500. 00 



4, 000. 00 



2, 000. 00 



8, 000. 00 



12, 000. 00 



207, 725. 00 



Expenditures. 



$149, 023. 07 



13, 198. 93 



12, 257. 89 



500. 00 



3, 884. 75 



1, 999. 92 



3, 975. 65 



11, 991. 67 



J5alanc(< on 



hand June 30, 



1897. 



$4,201.93 



1, 801. 07 



742. 11 



115.25 



.08 



4, 024. 35 



8.33 



196, 831. 88 



JJishnrsemcnts front tmejpended balances of appropriations for tlie fiscal mar cndin<j 



June SO, 1896. 



Object. 



Preservation of collections 



Furniture and fixtures 



Heating and lighting 



Building repairs 



Itent (if workshops 



Total 



Balance, June 

 30, 1896. 



$2, 846. 53 



1, 31.5. 09 



947. 33 



929. 51 



75.00 



C, 113. 46 



,.., ,!!*,_„„ Balance, June 



lixpenditures. oq 1097 



^52, 845. 21 



1,314.80 



946. 91 



928. 13 



75.00 



.$1. 32 



.20 



.42 



1.38 



(i, 110. 14 



From the uiiexpeiuled balance of the appropriatiou for the preserva- 

 tiou of collections for the fiscal year ending- June 30, 1895, disburse- 

 ments to the amount of $3G.19 were made, leaving a balance of $6.12, 

 which will revert into the Treasury, to be carried to the credit of the 

 surplus fund, under the provisions of section 3090 of the Itevised 

 Statutes. 

 238 



