TWELFTH ANNUAL REPORT. 



43 



Unimal Jfunb. 



Cash in Treasury, January i, 1907 $1,355.16 



RECEIPTS. 



Special Subscription : 



Frederick G. Bourne $3,000.00 



Samuel Thorne 457-00 



Jacob H. Schiff 450.00 $3,907.00 



Receipts at Park: 



Rocking Stone Restaurant 500.00 



Privilege account 3,000.00 



Admissions 8,248.65 



Checking 25.15 



Rents 648.27 



Miscellaneous 160.28 



Sale of animals 2,335.50 $14,917.85 $18,824.85 



$20,180.01 



EXPENDITURES. 



Purchase of Animals: 



Mammals $13,982.55 



Birds 2,382.75 



Reptiles 655.55 $17,020.85 



Traveling and other expenses 800.11 



Express and other charges 1,033.72 $18,854.68 



Cash balance, December 31, 1907 1,325.33 



$20,180.01 

 H. R. Mitchell, Percy R. Pyne, 



Chief Clerk. Treasurer. 



January i, 1908. 



