132 NEW YORK ZOOLOGICAL SOCIETY 



B rough I fo r ica rd $36, 169.55 



Unexpended balance as of December 31, 1914: 



Available for expenditure during 1915 $15,858.88 



Received from Sustaining Memberships in advance 



for 1916, 1917, 1918 130.00 15,978.88 



Invest7nents: 



$6,000 New York, Lackawanna & Western Terminal 4% 



Bonds (One bond sold during year for $990.) 5,940.00 



$58,088.43 

 H. R. Mitchell, 



Chief Clerk. Percy R. Pyxe, 



January 1, 1915. Treasurer. 



ZOOLOGICAL PARK 

 Schedule 2. 

 receipts. 

 Received from the City on account of Park Maintenance 



Appropriation of $200,000.00 for the year $176,156.77 



Due from the City on account of Park Maintenance Ap- 

 propriation 23,843.23 $200,000.00 



EXPENDITURES. 



Maintenance of buildings and care of collections $ 53,817.00 



Maintenance and care of grounds 52,917.20 



General administration 18,892.36 



Food for animals 40,420.38 



Fuel 13,117.65 



Lumber 1,875.61 



Uni forms and badges 1 ,762.00 



Hardware _ 1,556.47 



Hire of horses and vehicles 1,551.00 



Electric service 1,544.38 



Paints and oils 1,234.92 



Miscellaneous supplies 1,084.05 



Office supplies 860.46 



Telephone service . 765.87 



Stationery and printing 745.90 



Miscellaneous equipment 713.53 



Miscellaneous materials 709.87 



Plumbing materials 600.84 



Janitors' supplies 511.36 



Tools and machinery 399.13 



Office furniture and fittings 391.50 



Expressage and deliveries 385.83 



Fuel oil and gasoline 359.87 



Disinfectants 357.95 



Glaziers' supplies 266.46 



Apparatus and machinery repairs 265.63 



Janitors' equipment : 237.15 



Medical attendance (employees) 220.00 



Steel and iron 210.81 



Furnace repairs 207.89 



Carried forward $197,983.07 



