REPORT OF THE EXECUTIVE COMMITTEE. XXXIX 



RENT OF WORKSHOPS, NATIONAL MUSEUM, 1904. 

 RECEIPTS. 



Balance as per report July 1, 1904 $0. 08 



EXPENDITURES. 



(July 1, 1901, to JuiK' 30, 1905.) 



None. 



Balance July 1, 1905. .08 



RENT OF WORKSHOPS, NATIONAL MUSliUM, 1903. 



RECEIPTS. 



Balance as per report July 1, 1904 $0.08 



EXl'EKDITUKES. 

 (July 1, 1901, to June 30, 1905.) 



None. 



Balance July 1, 1905 .08 



■ Balance carried, under ])rovisions of Kevised Statutes, section 3090, by the Treas- 

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



BUILDING REPAIRS, NATIONAL MUSEUM, 1905. 



RECEIPTS. 



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

 repairs to buildings, shops, and sheds, National Museum, including all 

 necessary labor and material" (sundry civil act, April 28, 1904) $15,000.00 



EXPENDITURES. 

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



Salaries or compensation $8, 424. 18 



Special services 290. 00 



Total salaries and services §8, 714. 18 



Miscellaneous : 



Repairs to roof (by contract) $2, 604. 51 



Steel trusses 450. 00 



Lumber 323. 76 



Cement, mortar, marV)le, l)rick, sand 129. 75 



Hardware, tools 226. 51 



Paints, oil, brushes - - - 269. 59 



Skvlights and gearing attachments 450. 00 



Glass^ 30.80 



Total miscellaneous expenditures 4, 484. 92 



Total expenditures to June 30, 1905 13, 199. 10 



Balance July 1, 1905, to meet outstanding liabilities 1,800.90 



Analysis of expenditures for salaries or compensation. 

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



1 superintendent, 6 months, at $166.66 $999.96 



1 foreman, 12 months, at $85 1 , 020. 00 



1 carpenter, 12 days, at $3 36.00 



