XXXVI REPORT OF THE EXECUTIVE COMMITTEE. 



MiscellaneouH — Continued. 



H aid w a re 1225.16 



Tools 8. 45 



Cotton, cloth, etc 118. 80 



Lumber 184.82 



Paints - 2. 25 



Office furniture 274. 25 



Rubber and leather 8. 14 



Flour 3. 00 



Total expenditure $3, 425. 04 



Balance July 1, 1905, to meet outstanding liabilities 6. 94 



FURNITURK AND FIXTURES, NATIONAL MUSEUM, 1903. 

 RECEIPTS. 



Balance per last report July 1, 1904 $12. 58 



EXPENDITURES. 



(July 1, 1904, to June 30, 1905.) 

 None. 



Balance July 1, 1905 12. 58 



Balance carried, under provisions of Revised Statutes, section 3090, by tfce Treas- 

 ury Department to the credit of the surplus fund June 30, 1905. 



HEATING AND LIGHTING, NATIONAL MUSEUM, 1905. 

 RECEIPTS. 



Appropriation by Congress for the fiscal year ending June 30, 1905, " for 

 expense of heating, lighting, electrical, telegraphic, and telephonic 

 service for the National Museum" (sundry civil act, April 28, 1904) .. $18,000.00 



EXPENDITURES. 



(July 1, 1904, to June 30, 1905.) 



Salaries or compensation $8, 173. 17 



Special services 40. 00 



Total services $8, 213. 17 



Miscellaneous : 



Coal and wood $4, 880. 90 



Gas 527. 40 



Electricity 1, .369. 90 



Telephones 490. 25 



Electrical supplies 44(5. 44 



Rental call boxes 90. 00 



Heating supplies 449. 22 



Telegrams " 63. 32 



Total miscellaneous 8, 317. 43 



Total expenditure to June 30, 1905 $16, 530. 60 



Balance July 1, 1905, to meet outstanding liabiUties 1, 469. 40 



