December 31, 1899. 



Park Improvement Fund : Expenditures. 



Buildings and Animal Installations : 



Elk House $1,915 82 



Ducks' Aviary 3.291 20 



Burrowing Rodents' Quarters 2.252 85 



Bird House . .^ 24,084 53 



Prairie Dogs' Enclosure 804 17 



Reptile House ' 48,037 48 • 



Flying Cage 5,286 35 



Beaver Pond 2,960 87 . 



Bear, Wolf, and Fox Dens 17,064 49 



Mountain Sheep Hill 379 55 



Crocodile Pool 1,327 41 



Buffalo House 3,614 02 



Antelope House 1,855 08 



Otters' Pool 1,225 26 



Moose Shelter 996 54 



Red Deer Shelter 1,060 19 



Small Mammals' House 4,000 04 



Caribou Shelter 1,061 70 



Antelope Shelter 1,043 66 



Fallow Deer Shelter 1,035 29 



Mule Deer Shelter 189 34 



Elk Shelter 78 16 



Virginia Deer Shelter 165 65 



Architects' Commissions .- 6,088 33 



General Construction 10.267 58 — $140,085 56 



Maintenance, Ground Improvements, etc., for 1898: 



Ground Improvements 2,281 18 



Maintenance 1,292 16 



Storehouse 655 66 



Engineering — all purposes 2,903 74 — 7,132 74 



Transferred to the " General Fund " : 



Life memberships, Benson B. Sloan 600 00 



On account of payment to Architects 800 00 — 1,400 00 



Guide Books and Photographs 990 67 



Live Animals 8,540 72 



Amounts due from City : 



Advanced for Maintenance 10,267 55 



Advanced for Improvement of Grounds 799 45 — 11,067 00 



Cash shortage on account of " Maintenance," Dec. 31. 1899*. 5,045 56 



Collectable from City, on account of Improvement of Grounds 40 56 



Cash balance in the hands of Treasurer, Dec. 31, 1899 5-337 43 



* Add maintenance bills for $1,993.05, unpaid on Jan. i, 1900, 

 making total net shortage on maintenance for 1900, $7,038. 61. 



$179,640 24 



L. V. F. Randolph, 

 Treasurer. 



