SEVENTEENTH ANNUAL REPORT 57 



nnn,<ihf fonmrd $356,493.93 



Balance available for ex)ieii(liture. Deeeniber 31st, 1913 63,783.83 



$330,376.76 

 H. R. Mitchell. Pkucy U. Pyne. 



Chief Clerk-. Treatfiirer. 



January 1, 1913. 



Animal i^'mt^ 



Silieiliile I. 

 Unexpended balance a.s at December 31, 1911: 



Cash in Bank $33,905.34 



Cash on hand 100.00 $33,005.34 



Income from January 1, 1913, to December 31, 1913: 



Specml Subsrrij)tio)is : 



The Junior I^eague 150.00 



Admissions 11,838.40 



Checking 45.30 



Sale of Animals 1,380.00 



Miscellaneous 80.30 13,393.90 



$46,399.34 



EXPENDITURES. 



Mammals $31,388.86 



Birds 7,473.38 



Reptiles 1,388.80 



Insect Collection 349.67 30,499.61 



l'"xpress and other charges 1,378.58 



Travelling and other expenses 3,810.39 4,088.97 



Unexpended balance ;'.s at December 31, 1913: 



Cash in Bank $ll,710.6(i 



Cash on hand 100.00 11,810.66 



$46,399.24 

 H. R. Mitchell, Percy R. Pyne. 



Chief Clerk. Treasurer. 



January 1, 1913. 



g»tiikrs* Mivh iFun^ 



Schedule 5. 

 Unexpended balance as at December 31, 1911: 



Cash in Bank $ 309.88 



Investment: Illinois Central Railway 4% Gold Bonds 5,056.46 5,366.34 



Interest received and accrued 240.14 



$5,506.48 

 expenditures for yeah. 



Donations towards preservation of bird life $ 300.00 



Unexpended balance as at December 31, 1912: 



Cash in Bank $ 116.69 



Investment: Illinois Central Railway 4% 



Gold Bonds '. 5,056.46 $5,173.15 



Accrued interest on Bonds 33.33 .5,306.48 



Carried fo rxca rd $5,506.48 



