Creasurer’s Reports, 
For THE YEAR ENDING DECEMBER 31, 1903. 
The annual expenditure of the various funds is shown in appended statements. 
Park Jmprovement Fund. 
RECEIPTS. 
Cashwminglreasury.. janitiany. 1, 1003s5)-c4e eae eee eee $12,462 17 
Refund of unexpended balance account European Trip $122 80 
ACEGMEOUSEMINENtAL Jewce c sites ede oe cis eee Ee 245 74— 368 54 
7 $12,830 71 
EXPENDITURES. 
ENnPincening eres. van see st crm acen Roa one $300 84 
Express Charges: on Animals» assess cesses a neceine 654 19 
andseape: Atchitecturesny. sm ce eee ae ae oe 306 75 
General dEexpenses (3). cen tac ne ee de eae 430 61 
Maintenance Shortage for 1902.....................+ 2,757 57—$4,449 06 
Cash in’ Treasurys December 31; 19032... un25.0a0e see. eee 8,380 75 
$12,830 71 
H. R. MircuHett, Percy R. Pyne, 
Chief Clerk. 
January I, 1904. 
Examined and found correct by the New York Audit Company. 
Treasurer. 
