104 ANNUAL REPORT SMITHSONIAN INSTITUTION, 1918. 



Statement of receipts and disbursements from July 1, 19/7, to June 30, 1918. 



RECEIPTS. 



Cash on deposit and in safe July 1, 1917 $9, 232. 56 



Interest on fund in United States Treasury— $00, 000. 00 



Other interest— - 3.552.02 ^ ^ ^ 



Repayments, rentals, publications, etc__ 13. 503. 13 



Contributions for specific purposes 24, 358. 87 



Bills receivable 55,000. 00 



Proceeds from sale of real estate S, 721. 00 



lbo, loo. UZ 



174, 367. 58 



DISBURSEMENTS. 



Buildings, care and repairs $ 6 - 216. 39 



Furniture and fixtures !> 395 - 14 



General expenses : 



Salaries $ 17 > 572 - ™ 



Meetings 20 - °° 



Stationery 646 - 57 



Postage, telegraph, and telephone 625. 29 



Freight 24 - 13 



Incidentals, fuel, and lights 930. 00 



Garace 2,042.64 



brarage - 21,861.42 



Library 2, 160. 86 



Publications and their distribution: 



Miscellaneous Collections 2, 040. 69 



Contributions to Knowledge 120. 00 



Reports 46. 45 



Special publications 186. 09 



Publication supplies 185. 32 



Salaries 6, 525. 37 



9, 103. 92 



Explorations, researches, and collections 4, 229. 10 



Hodgkins specific fund, researches, and publications ' 4, 836. 47 



International Exchanges 614. 00 



Gallery of Art 22. 52 



Consolidated fund (invested) 12,725.00 



Bills receivable — time certificates 50, 000. 00 



Interest accrued — consolidated fund 53. 78 



United States third Liberty loan 10,000.00 



Advances for field expenses, etc 49, S59. 08 



173, 077. 68 



Deposited with Treasurer of the United States 1, 0S9. 90 



Cash on hand 200. 00 



1, 289. 90 



174, 367. 58 



