Treasurer's Reports. 
For THE YEAR ENDING DECEMBER 31, I904. 
The annual expenditure of the various funds is shown in appended statements. 
Park Ymprovement Fund. 
RECEIPTS. 
Cashmubireasuny, January 0, 1004>.-..5-o- +e eee ee $8,380.75 
Subscriptions: 
Crantebmochilcyaeeee ane ee eee npr OOOO 
aes arritniaties aa saci seteanye rues) See ah 500.00 
innederick G  Bourmes..nc-- a) ges ae tl) 53,000.00 — | 10,500.00 
$14,880.75 
EXPENDITURES 
Generale lxpenSeSe ct aco occ 5 see sme oh cee $142.26 
Pasko MOUSE! ete ented toasted et. os a gas oe 871.61— $1,013.87 
Cashin) Treasury, January 1, 1905s.....0.-:% 2.22 13,866.88 
$14,880.75 
H. R. MircuHe tt. Percy R. PyngE 
Chief Clerk Treasurer. 
January 1, 1905. 
Examined and found correct by the New York Audit Company. 
