SIXTH ANNUAL REPORT. 51 



Slntmal J^onU. 



ANIMAL FUND: RECEIPTS. 



Cash in Treasury, January I, 1901 $1 40 



Receipts at Park: 



Admission $2,998 80 



Checking Bicycles, etc 304 15 



Rents 538 50 



Boating Privilege 250 00 



Lunch Room 172 93 



Soda Water 1,123 99 



Miscellaneous receipts 108 72 — 5,497 09 



$5,498 49 



ANIMAL FUND: EXPENDITURES. 



For the purchase of animals during the year $2,964 60 



Express and other charges 334 51 



Traveling and other expenses 34200 — 3,641 11 



Cash in the Treasury December 31, 1901 1,857 38 



$5,498 49 



H. R. Mitchell, Charles T. Barney, 



Chief Clerk. Treasurer. 



January i, 1902. 



