REPORT OP THE COUNCIL. 



Expenditure, 1892-3 and 1893-4. 



Salaries and Wages 



Stationery, Printing, Postage, 



&c 



Piinting and Illustrating 



Journal 



Purchase of Steam Launch 

 Gas, Water, Coal, Oil, &c. 

 Coal and Water for Steam 



Launch , 



Stocking Tanks and Feeding 

 Glass, Chemicals, Apparatus 



&c 



Maintenance and Repairs of 



Building and Boats 



Rates and Taxes 



Boat Hire 



Travelling 



Expenses of Exhibition of 



Specimens 



Library 



North Sea Investigation 



Immature Fish Investigation 

 Labrador Investigation 



Deduct total decrease 



Ordinary payments 



Extraordinary payments 



Expenditure of 



1892-3. 



£ s. d. 



1223 4 



138 10 



106 1 4 



290 13 2 



110 14 5 



36 3 2 



72 6 5 



127 



123 2 10 



26 10 6 



33 15 6 



57 8 1 



1893-4. 



45 14 3 



90 13 1 



20 



16 6 



2502 9 7 

 233 19 5 



2268 10 2 



2190 19 11 

 311 9 8 



2502 9 7 



£ s. d. 



1263 7 



168 3 6 



85 14 9 



107 10 5 



22 5 3 



90 17 4 



123 9 2 



131 13 



34 12 3 



41 8 10 



42 5 5 



59 7 10 



21 3 4 



76 12 1 



2268 10 2 



2268 10 2 



2209 2 4 

 59 7 10 



2268 10 2 



Increase. 



£ s. d. 

 40 6 8 



29 13 6 



18 10 11 



S 10 2 

 8 1 9 

 7 13 4 



59 7 10 



Decrease. 



£ s. d. 



20 6 7 



290 13 2 



3 4 



13 17 11 

 3 10 10 



15 2 8 



24 10 11 



14 1 



20 



16 6 



172 4 2 406 3 7 

 Deduct increase 172 4 2 



Total decrease 233 19 5 



18 2 5 1 

 Deduct increase 252 1 10 



Total decrease 233 19 5 



Contra. 



Cr. 



By Balance from May 31st, 1893, being amount overdrawn at Bankers, 



less Cash in hand 



By Payments made from June 1st, 1893, to May 31st, 1894 



By Balance carried forward to June 1st, 1894 



£ s. d. 



196 13 8 



2268 10 2 



10 1 5 



2475 5 3 



