LVI REPORT OF THE EXECUTIVE COMMITTEE. 



Miscellaneous — Coiitinned. 



Hardware, tools, oto $455. 10 



Paints, oils, glue, chemicals I_ 4.30. 17 



Woodwork 11.2."> 



Skylights 1 251. :w 



Glass H].:M 



Cloth, etc 1 1.05 



Total miscellaneous expenditure $1,45.3.93 



Total expenditure to June .">(). 1!)04 .1>],470. OM 



Balance .tuly 1. T.t()4 _ 58.04 



Total stdtciuchf (if receipts ami e.rpeiullt iires. 

 I.Tuly I. I'.Xlli, lo .hiiie .'iO, 19U4. 1 



BECEIPTS. 

 Appropriations by Congross, June 28, 1002 $15,000.00 



KXl'ENDITtrUES. 



r.Tnly 1. 1!M)2, t.) .Iiiiic :'.0, 1004.1 



Salaries or compensation $10,171.80 



Special services 309.80 



Total services $10,484.(59 



Miscellaneous: 



Lumber .552.31 



Cement, ])laster. gravel. ■ lime, sand, 



mortar 3f9. 2(1 



Hardware, tools, etc 719.32 



Paints, oils, glue, brushes 941.87 



Woodwork 97. 23 



Skylights and ventilators 679.30 



Glass IGG. 10 



Cloth, cotton, etc 2.55 



Paper 40.50 



Drawings 35.00 



Slating roof 750.00 



Steel beams 47.77 



Brickwork 106.00 



Total miscellaneous 4, 457. 27 



Total expenditure to June ."'.O, 1904 14.941.9(5 



Balance July I. 19(>4 58.04 



NA'I'IONAL MUSEl^M— r.TTILDINd REI'AIKS, VMri. 



Balance as juu- repoi-t .luly 1. 1!H)3 $27.2:'. 



Balance carri(>d. under jtrovisions of Itevised Statutes, .section 3090, by llic 

 Treasury Depart.ment to the credit of the surplus fund June 30, 1904. 



