REPORT OF THE EXECUTIVE COMMITTEE. XLII1 



EXPENDITURES. 



[July 1, 1900, to June 30, 1901.] 



Rt-iit of workshops and storage quarters: 



N< ». 431 Ninth street SW $1, 999. 92 



No. 217 Seventh street SW 1 , 080. 00 



No. 313 Tenth street SW 600. 00 



No. 915 Virginia avenue SW ( rear) 360. 00 



Total expenditures $4, 039. 92 



Balance July 1 , 1901 . OS 



RENT OF WORKSHOPS, 1900. 

 Balance as per report July 1 , 1900 fO. 08 



Balance July 1, 1901 .08 



RENT OF WORKSHOPS, 1S99. 



Balance as per last report July 1 , 1900 $110. OS 



Balance carried, under the provisions of the Revised Statutes, section 3090, by the 

 Treasury Department to the credit of the surplus fund, June 30, 1901. 



NATIONAL MUSEUM— BUILDING REPAIRS, 1901. 



RECEIPTS. 



Appropriation by Congress for the fiscal year ending June 30, 1901, "for 

 repairs to the buildings, shops, and sheds, National Museum, includ- 

 ing repairs of roof, and for all necessary labor and material " (sundry 

 civil act, June 0, 1900) $15, 000. 00 



EXPENDITURES. 



[July 1, 1900, to June 30, 1901.] 



Salaries or compensation $7, 661 . 44 



Special services 442. 85 



Total services $8, 104. 29 



Miscellaneous: 



Terrazzo and tile floors $2, 037. 01 



Lumber 286. 57 



Cement, gravel, sand, etc 475. 60 



Hardware and tools 170. 79 



Paints, oils, brushes 229. 79 



Skylights and ventilator 240. 00 



Steel plates, angles, panels, etc 1, 122. 09 



Drawings 281 . 50 



Advertising 41. 26 



Travel 52. 35 



Woodwork 242. 62 



Bricks 59. 50 



Glass 3. 80 



Decorating walls and ceilings 767. 90 



Total miscellaneous 6, 010. 78 



Total expenditures $14, 115. 07 



BalanceJuly 1, 1901 sst. 9:; 



