NINETEENTH ANNUAL REPORT 137 



maiutruaurr Jfuuin 

 AQUARIUM 



Schedule 8. 



RECEIPTS. 



Received from the Citv on account of Aquarium Main- 

 tenance Appropriation of $47,000.00 for the year $ 43,790.11 



Due from the City on account of Aquarium Maintenance 



Appropriation 3,205.43 



Unexpended lialance 4.47 $47,000.00 



EXPEXDITtJRES. 



Salaries $ 32,841.86 



Fish Food 2,474.11 



Fuel 4,647.76 



Office supplies 126.67 



Laundry, cleaning and disinfecting supplies 91.18 



Refrigerating supplies 145.32 



General plant supplies 549.68 



Office equipment 26.00 



General plant equipment 1,060.13 



General plant materials 469.37 



Repairs 2,469.11 



Lighting 1,530.11 



Expressage 267.43 



Telephone 163.86 



Contingencies 132.95 



Unexpended balance 4.47 $47,000.00 



Robert SutcuffEj 



Clerk. Percy R. Pyne, 



January 21, 1915. Treasurer. 



AQUARIUM 



Corporate Stock, C. D. P. No. 92. 



Schedule 8-A. 



Construction of Foundations and Wall of Wings, New York Aquarium, 



Battery Park. 



Balance on hand as per last report $ 466.12 



expenditures. 



Rescinded by Board of Estimate and Apportionment, January 23, 



1914 366.12 



Balance available, December 31, 1914 100.00 



$ 466.12 



Morris Mayer, 

 Bookkeeper, Department of Parks, 



Manhattan and Richmond. 

 January 1, 1915. 



