EIGHTEENTH ANNUAL REPORT 



57 



Brouijhl fonvard ^IHH, ().i.7.12 



Ice 



Janitors' equipment 



Sanitary service _ 



Telegraph, cable and messenger service 



N'ursery supplies 



Furnace repairs and replacements 

 Medical attendance (emplojees) 



Rubber hose 



Nursery stock and seeds 

 Glass and glaziers' supplies 



Electrical supplies 



Brushes and painters' equipment 



Laundry 



Medical attendance (animals) 



Awnings and shades 



Miscellaneous expenses 



Engineering supplies 



Mats and floor coverings 



Harness and vehicle repairs 



Veterinary supplies 



Surgical instruments and appliances 



Unexpended balance to revert back to the City 



18L60 



168.29 



168.00 



138.07 



135.38 



116.96 



98.00 



83.75 



73.26 



59.46 



58.70 



53.27 



38.97 



30.00 



26.75 



25.96 



19.95 



15.00 



14..25 



10.67 



6.95 



2,354.64 



."5191,925.00 



H. R. Mitchell, 



Chief Clerk 

 January 9, 1914. 



Percy R. Pyne, 



Treasurer. 



^nulu^ ilmpiuurmnit IFimii 



Schedule 3. 

 Showing Status of Appropriation No. 5. 



Unexpended balance of Appropriation No. 4, brought forward 



Reductions on various contracts, old account 



RECEIPTS. 



Appropriated bv Board of Estimate and Apportionment: 



Available, July, 1908 ,$65,000.00 



Available, August, 1909 10,000.00 



Available. August, 1910 84,500.00 



Available, October, 1911 155,000.00 



Premium on bonds to December 31, 1913 



EXPENDITURES. 



By the Zoological Society: 



Baird Court Boundary and Concourse ^ 408.68 



Crematory and fuel shed 489.76 



Axis and Sika Deer fences 1.337.63 



Guard rails 2.478.65 



Boundary fences 3,303.58 



Elephant House walks and yards 1,797.94 



Forestry and planting 17,796.77 



Miscellaneous 13,904.67 



West Farms Block 2,150.88 



New walks .' 10,579.88 



Carried forward $53,248.44 



$3,099.78 

 1,416.96 



314,500.00 



1,260.02 



$.320,276.76 



