TWENTY-THIRD ANNUAL REPORT 125 



(!Ia^utalab^^r Animal 3fm\h 



Schedule 11. 



Unexpended balance as of December 31, 1917: 



Cash in Bank $ 1,500.00 



Investment: .1^:30,000 (at par) Illinois Central & Chi- 

 cago, St. Louis & New Orleans joint 5% Bonds 30,000.00 .$ 31,500.00 



Interest on investment 1,000.00 



EXPENDITtTRKS. $22,500.00 



Purchase of animals $ 725.00 



Unexpended balance as of December 31, 1918: 



Investment: $20,000 (at par) Illinois Central & Chi- 

 cago, St. Louis & New Orleans joint 5% Bonds $20,000.00 



Cash in Bank '. 1,775.00 21,775.00 



$22,500.00 

 H. R. Mitchell, Percy R. Pyke, 



Chief Clerk. Treasttrer. 



January 1, 1919. 



Hilb IGifr JffuuJi 



Schedule 12. 

 Unexpended balance as of December 31, 1917 $ 869.01 



RECEIPTS. 



Sale of "Our \'anishing Wild Life" 81.00 



EXPENDITURES. $ 950.01 



Telegraph and express $ 1.94- 



Miscellaneous expenses 18.00 19.94' 



Unexpended balance as of December 31, 1918 930 07 



$ 950.01 

 H. R. Mitchell, Percv R. Pyne. 



Chief Clerk. Treasurer. 



January 1, 1919. 



Jtttprdurmpnt anb ^tptxir Arrminl 



Schedule 13. 



RECEIPTS. 



Transferred from Animal Fund, Gate Receipts (Jan. 1 



to June 30, 1918) $ 3,758.95 



Gate Receipts (July 1 to Dec. 31, 1918) 5,105.25 



EXPENDITURES. $ 8,864.90 



Walk repairs $ 688.92 



Heating repairs 1,056.42 



Miscellaneous 344.22 



Lion House 553.14 2,642.70 



Unexpended balance as of December 31, 1918 6,221.50 



$ 8,864.20 

 H. R. MiTCHELi., Percy R. Pyne, 



Chief Clerk. Treasurer. 



January 1, 1919. 



