EIGHTEENTH ANNUAL REPORT 



59 



B vo H (fh t fonca rd $46,764.54 



Yak shelter and yards 1,982.15 



Resta lira nt ya rds 158.87 



Power plant equipment 0,911.46 



Concrete coping, etc., Duck Aviary 357.63 



Concrete benches 99.25 



Service Yards 576.61 56,850.51 



Through Park Department: 



Contract, J. F. Walsh & Bro. Public Service 



Building $29,230.00 



Contract, Knight & De Micca, Excavating rock 877.50 



Contract, Jos. Balaban, Zebra House 25,111.00 



Contract, George Hildebrand, Eagle and Vulture 



Aviary _ 18,867.00 



Contract, H. F. English, Public Comfort Station, 



Elephant House 10,357.00 



Contract, Abraham & Straus, Furnishing Adminis- 

 tration Building 7,544.26 



Contract, Repairing Bronx River Dam 6,514.00 



Contract, Construction of Bear Dens 7J77.00 



Contract, Granite Coping, Baird Court 772.00 



Contract, Terra Cotta Work, Zebra House 1,565.00 



Contract, Change in brick work, Zebra House 1,247.00 



Contract, A. V. Jolinson & Co., Work Shops 23,895.00 



Contract, Jos. E. Dobbs, Pelican House 4,045.00 



Contract, Jos. Balaban, Addition to Restaurant ,3,900.00 



Miscellaneous expenditures through Park Depart- 

 ment - 7,998.47 



Claim of J. V. Schafer, Jr., Co., allowed by Finance 

 Department for extra on Administration Build- 

 ing 1,409.86 151,110.09 



Balance available for expenditure, December 31, 1913 22,082.02 



$320,276.76 



H. R. Mitchell, 



Chief Clerk. 

 January 1, 1914. 



Percy R. Pyne, 



Treasurer. 



Animal 3\\\\i\ 



Schedule 4. 



Unexpended balance as at December 31, 1912: 



Cash in Bank $1 1,710.66 



Cash on hand 100.00 



Income from January 1, 1913, to December 31, 1913: 

 Special Subscriptions: 



The Junior Auxiliary $150.00 



Admissions 13,404.25 



Checking 42.10 



Sale of Animals 1,438.25 



Miscellaneous 65.92 



Boating 2,000.00 



Carried forxvard _.... $16,100.52 



$11,810.66 



