REPORT OF THP: EXECUTIVE COMMITTEE. XLVII 



General expenses — Continued. 



Furniture $129. 50 



Lumber 47. 60 



Macliinery, tools, etc 57. 73 



Miscellaneous supplies 275. 06 



Paints, oils, glass, etc 4H. 40 



Postage, telegraph, and telephone 78. 57 



Purchase and transportation of animals 1, 010. 67 



Road material, grading, etc 24. 00 



Stationery, books, etc 100. 74 



Surveying, plans, etc 575. 00 



Travel and field expenses 29. 95 



Trees, plants, etc 12. 37 



Water supply, sewerage, etc 34. 20 



Total disbursements $13, 057. 98 



Balance July 1, 1905 1, 376. 99 



NATIONAL ZOOLOGICAL PARK, 1903. 



Balance July 1, 1904, as per last report |203. 62 



General expenses: 



Building material $7. 70 



Freight 20. 07 



Si)ecial services, plans, etc 175. 00 



Total disbursements 202. 77 



Balance .85 



Balance carried, -^nder provisions of Revised Statutes, section 3090, by the Treasury 

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



ELEPHANT HOUSE, NATIONAL ZOOLOGICAL PARK, 1903. 

 Balance July 1, 1904, as per last report $0. 54 



Balance carried, under provisions of Revised Statutes, section 3090, by theTrcasary 

 Department to the credit of the surplus fuml June 30, 1905. 



RECAPITULATION. 



The total amount of funds administered by the Institution during the year ending 

 June 30, 1905, appears, from the foregoing statements and a:' ount books to have 

 been as follows: 



SMITHSONIAN INSTITUTION. 



From interest on SiTiitusonian fund for the year $56, 220. 00 



From interest on West Shore bonds 1, 680. 00 



From sales of publi nations, repayments, freight, etc 6, 8ol. 72 



Cash from tempo' ary loan 10, COo. 00 



$74, 761. 72 



Deduct deficit July 1, 1904 362.80 



74, 398. 92 

 SM 1905 ^ 



