TWELFTH ANNUAL REPORT. 47 



Aquarium Smprobemcnt jFunb. 



RECEIPTS. 



Balance of $40,000 Appropriation as per Report of 1906 $1,156.04 



Premiums account sale of bonds i3-5o 



$1,169.54 



EXPENDITURES. 



Through Park Department: 



Barney & Chapman, Commissions $125.52 



J. E. O'Connor, Removing Suction Line. . . . i35-00 



Pay-roll, Chief Engineer and Labor 133-87 394-39 



Balance available for Expenditure 775-iS 



January i, 1908. $1,169.54 



J. J. Odell, 

 Chief Bookkeeper, Depf. of Parks. 



Aquarium Jfunb. 



receipts. 



Received from New York City on account of Aquarium 



Appropriation for 1907 $45,000.00 



EXPENDITURES. 



Pay-rolls $30,1 17.21 



Coal 5 J43-40 



Telephone 161.08 



Alterations and Repairs 2,978.53 



General Supplies 1,368.33 



Fish Food 1,765.85 



Live Specimens 831.40 



Incidental Expenses 200.00 



Electric Light 415 93 



Ice 38.85 



Stationery and Books i59-90 



LIniforms 13.00 



Furniture 49.00 



Cartage (fishes and cans) 197-39 



Cartage (debris) 144.00 $44,183.87 



Balance unexpended 816.13 



$45,000.00 



E. R. Sampson, 

 January i, 1908. Disb. Clerk. 



Note. — LTnexpended balance reserved for payment of 1907 gas bill, the 

 rate being undecided. 



