For the Year Ending December 31, 1905. 



The annual expcndiliircs oj the various junds are shewn in appended statements. 



|)arli ^mprobemcnt jFunl. 



{Changed to " General Fund") 



For Period Ending May 3, 1905. 

 Cash in Treasury, January i, 1905 $13,866 88 



RECEIPTS. 



Nothing. 



EXPENDITURES 



Maintenance Shortage for 1904 $1,894 37 



Cash balance closed into new "General Fund" account 11,972 51 



$13,866 88 



H. R. Mitchell, Percy R. Pyne, 



Chief Clerk. Treasurer. 



January i, 1906. 



