XLVI REPORT OF THE EXECUTIVE COMMITTEE. 



GALLERIES, 1899. 



Total statement of receipts <ni<l expenditures. 



RECEIPTS. 



Appropriation by Congress July 1, 1898 $10,000.00 



EXPENDITURES. 

 [July 1, 1898, to June 80, 1901.] 



Salaries or compensation $940. 56 



Ransome arches 1, 609. 38 



Ironwork 3, 527. 35 



Terrazzo and marble floor 1, 295. 09 



Hardware and tools 54. 56 



Lumber 103. 34 



Cement, etc 234. 45 



Drawings and bine prints 85. 00 



Advertising . . . .■ 61. 07 



Paint 25. 65 



Bricks 46. 00 



Woodwork 156. 00 



Canvas 29. 21 



Skylight and ventilators 1, 782. 20 



Travel 23. 10 



Sheeting 21. 12 



Paper 5. 25 



Total expenditures $9, 999. 33 



Balance - <>7 



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

 Treasury Department t<> the credit of the surplus fund, June 30, 1901. 



NATIONAL MUSEUM— BOOKS, 1901. 



RECEIPTS. 



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

 purchase of books, pamphlets, and periodicals for reference in the 

 National Museum" (sundry civil act, June <>, 1900) $2, 000. 00 



EXPENDITURES. 



[July 1, loiiu. to June30, 10(»l.] 



For purchase of books, pamphlets, and periodicals from July 1, 1900, to 



June 30, 1901 $1, 141. 96 



Balance July 1 , 1901 858. 04 



BOOKS, 1000. 

 RECEIPTS. 



Balance as per report July 1, 1900 $878. 72 



EXPENDITURES. 



[July 1, 1000, to June 30, 1001.] 



For purchase of books, pamphlets, and periodicals from July 1, 1909, to 

 June 30, 1901 $848.08 



Balance July 1, 1901 30.64 



