For the Year Ending December 31, 1907. 



The annual ey-pendit tires of the variotis funds are shown in the appended statements. 



(General Jfunb. 



Cash in Treasun-, January i, 1907 $6,039.32 



receipts. 

 Sale of Aquarium Publications 38.20 



?6,077-52 

 expenditures. 



Architects' Commissions $370.72 



Income Account (Transfer) 4,000.00 



Cash Balance, December 31, 1907 1,706.80 



$6,077.52 



H. R. Mitchell, Percy R. Pyne, 



Chicj Clerk. Treasurer. 



January i, 1908. 



