SECOND ANNUAL REPORT. A] 
STATEMENT 
December 31, 1897. 
EXPENDITURES. 
Stationery and office supplies . $ 212.58 
Office furniture . 15.75 
Office rent, sais : 300.00 
Material for maps antl mlans 8.40 
Cost of Annual Report and Bulletin . 650.69 
Photographs, prints, albums, slides for eran aes 176.31 
Engrossing and drawing . 23.50 
Architectural drawings ar 951.28 
Topographical and other surveys . 465.00 
Stenographic work and typewriting . 306.17 
Circulars and envelopes . 70.50 
Press clippings . 15.51 
Seal and die . a 115.00 
District messenger service . 38.91 
Salary of Director . : 4999-93 
Clerical and other services . | 271.50 
General expenses, including petty een Waenmeed | 
by the Director, for office and other expenses . 107.52 
9,928.35 
Cash balance in treasury (in Atlantic Trust Company ) 
December 31, 1897: 
At credit of general account . 4,651.08 
cee "Park Improvement Fund . 38,211.58 
37,862.66 
AT 1191.01 
Respectfully submitted, 
L. V. F. RANDOLPH, Treasurer. 
