REPORT OF THE EXECUTIVE COMMITTEE. XLV 



Hardware $15. 50 



Paint 1. 50 



Drawings and plans 25. 00 



Total $250. 22 



Balance July 1, 1901 .85 



BUILDING REPAIRS, 1900. 



Total statement of receipts and expenditures. 



RECEIPTS. 



Appropriation by Congress March 3, 1899 $(3, 000. 00 



EXPENDITURES. 



[July 1, 1899, to June 30, 1901.] 

 Services: 



Salaries i >r compensation $ 1 , 833. 55 



Miscellaneous: 



Terrazzo floors $2, 166. ."> 1 



Cement, sand, mortar, lime, gravel, etc 299.22 



Hardware 58. 94 



Paints and oils 101. 82 



Glass 162. 31 



Steel beams and angles 457. 23 



Iron columns : 98. 45 



Drawings, decorating walls, etc 392. 25 



Cloth and paper 19. 88 



Doors and molding 320. 20 



Lumber 65. 06 



Bricks 13. 93 



Removing dirt 10. 00 



Total miscellaneous 4, 165. 60 



Total expenditures $5, 999. 15 



Balance July 1, 1901 .85 



BUILDING REPAIRS, 1899. 



Balance as per report July 1 , 1900 80. 91 



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

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



NATIONAL MUSEUM— GALLERIES, 1899. 

 RECEIPTS. 



Balance as per report July 1 , 1900 $205. 79 



EXPENDITURES. 



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

 Ironwork $205. 12 



Balance 67 



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

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



