FIFTEENTH ANNUAL REPORT 57 



Aquarium 3)mpruupmrut 3funh. 



R. B. F., R. D. P. No. 1. 

 Exhibit K. 



Revenue Bond Fund issue for alterations and Repairs to Aquarium 



skylights $5,000.00 



EXPF.XDITURF.S. 



Charles Wille, Contract for above alterations $4,740.00 



H. O. Chapman, Architect's Commissions 237.00 $4,977.00 



Balance available for expenditure December 31, 1910 23.00 



$5,000.00 



JoHx J. Odell, 

 Chief Bookkeeper, Department of Parks, 

 Manhattan and Richmond. 

 Januarv 1, 1911. 



Aquarium ^mjirniirmput iFuub. 



Corporate Stock C. D. P. No. 4. 

 Exhibit L. 



RECEIPTS. 



Balance available, Report 1909 $530.25 



Premium Corporate Stock 1.57 



Premium Corporate Stock , .06 



$531.88 



EXPENDITURES. 

 1910. 



February 18, Pay Roll $86.38 



March 2, Pay Roll 90.00 



March 9, Pay Roll 11.00 $187.38 



Balance available for Expenditure December 31, 1910 344.50 



$531.88 



JoHif J. Odell, 



Chief Bookkeeper, Departinent of Parks, 

 Manhattan and Richmond. 

 January 1, 1911. 



