TWENTY-FIRST ANNUAL REPORT Wer 
1915 GROUND IMPROVEMENT ACCOUNTS 
Construction of Hospital Building: 
Balance available, December 31, 1915. .............. eer Sana $ 3,702.90 
EXPENDITURES. 
By the Zoological PSHOXGN TAO | pees aie tet nel Ree ec eae a $ 887.62 
a “through Park Department. ...... 297.60 1,185.22 
Balance available, December 31, 1916 occ 2,517.68 
$ 3,702.90 
Construction of Sliding Door and Reinforcing Elephant 
House Fence: 
Balance available) December Sil) 1915) 2 $ 111.14 
EXPENDITURES. 
Bat Vem ZO OLOGLCHI aS OCUCT UY mma tae toy rte ee eee $ 111.00 
Balance available, December 31, 1916 i cccccccccctespesceeeceee 14 
$ 111.14 
New Paint and Oil Storage Shed: 
Balance available; December 31, 1915.22 $ 143.75 
EXPENDITURES 
ESL Cre ZO OLOOICHU MS OCUG EU) exten eee 141.47 
Balance available, December 31, 1916. ............. Een Ae Bo ; 2.28 
$ 
Poultry Breeding House: 
Balance available, December 31, 1915 wo. $ .63 
Balance available, December 31, 1916 cece $ 
Paving Bottom of Duck Pond: 
Balance available, December 31, 1915 $ 2,059.66 
EXPENDITURES. 
By the Zoological PSIOX OO AC i eter er Sone rae ene eee $ 942.89 
SS through Park Department. ..... 1,082.73 2,025.62 
Balance, available) December 3, W916). 34.04 
$ 2,059.66 
H. R. MircHe tt, Percy R. Pyne, 
Chief Clerk. Treasurer. 
January 1, 1917. 
