LIV REPORT OF THE EXECUTIVE COMMITTEE. 



EXPENDITURES. 



[July 1, 11)03, to Juue 30, 1904.] 

 Rent of workshops : 



431 Ninth street SW $1,009.92 



217 Seventh street SW 1. 080. 00 



309 and 313 Tenth street SW 9(50. 00 



915 Virginia avenue (rear) 3G0. 00 



Total expenditure to June 30. 1904 $4,399.92 



Balance July 1, 1904 .08 



NATIONAL MUSEFM— RENT OF WORKSHOP, 1903. 



Balance as per report July 1, 1903 $0.08 



Balance July 1, 1904 .08 



NATIONAL MUSETTM— KENT OF WORKSHOP, 1002. 



Balance as per report July 1. 1903 .$0.08 



Balance carried, under provisions of Kevised Statutes, section 3090, hy the 

 Treasury Department to the credit of the surjjlus fund June 30, 1904. 



NATIONAL MrSErAI— P-TTILDINC REPAIRS, 1004. 



RECEIPTS. 



Al)propriation l>y Congress for the fiscal year ending June 30, 1904, 

 " for repairs to huildings. sli()i)s. and sheds. National iAInseuni, 

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

 March 3, 1903) $15,000.00 



EXPENDITURES. 



Salaries or compensation .$9,900.80 



Special services .50.00 



Total salaries and services $10,010.80 



Miscellaneous : 



Rejiairs to roofs (hy contract) 1,033.20 



Galvanized-iron ceiling cornice 48G. 78 



Lumber 93. .32 



Cement, i)laster, mortar, brick, s.-md, ptc_ 80. 45 



Hardware, tools, etc 298.38 



I'aints. oils, glue, brushes 275.97 



Skylight 03. GO 



Glass 41. 25 



Drawings 40.00 



Cloth, etc 270.00 



Terrazzo pavement GO. 00 



rinmbing material 11.21 



Rubber, etc 15.90 



Total miscellaneous expenditure 2,520.82 



Total expenditure to Juno .",0, 1904 12. .531. OS 



Balance July 1, 1904, to meet outstanding liabilities 2. 408. .32 



