48 NEW YORK. ZOOLOGICAL SOCIETY. 
General Fund. 
RECEIPTS. 
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Annual Dues from Members............ 
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EXPENDITURES. 
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Stationery. and Office Supplies. -54-5-44- a6 
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Miscellaneous Expenses and Supplies........ 
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Cash Balance in Treasury, January 1, 1905.... 
H. R. MirceueE.t, 
Chief Clerk. 
January 1, 1905. 
Oe ose Aaa Se D2 OA ORT 
4,400.00 
150.98 
25.00— 16,285.98 
$19,126.12 
$95.50 
882.56 
940.74 
2,218.85 
893.52 
681.22 
1,882.50 
513.80 
887.16 
4,000.00 
1,062.01 
306.08 
396.49 
78.01 
337-55 
244.30 
125.00 
178.30 
236.32— $15,960.00 
3,166.12 
$19,126.12 
Percy R. Pyne, 
Treasurer. 
Examined and found correct by the New York Audit Company. 
