XXXVIII KEPORT OF THE EXECUTIVE COMMITTEE. 



RENT OF WORKSHOPS, NATIONAL MUSEUM, 1905. 

 RECEIPTS. 



Balance July 1, lOOP) $0.08 



DISBt^RSEMENTS. 



Disbursemeuts None. 



Balance July 1, 19U(j $0.08 



RENT OF WORKSHOPS, NATIONAL MUSEUM, 1904. 



RECEIPTS. 



Balance July 1, 19U5, as per last report $0. 08 



DISBt^KSEMENTS. 



Disbursements None. 



Balance $0. 08 



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

 Treasury Department to tbe credit of tbe suritlus fund June 30, 1900. 



BUILDING REPAIRS, NATIONAL MUSEUM, 1906. 

 RECEIPTS. 



Appropriation by Congress for tbe fiscal year ending June 30, 1906 : 

 " For repairs to buildings, sbops, and sbeds. National Museum, 

 including all necessary labor and material" (sundry civil act, 

 Marcb 3, 1905) $15,000.00 



DISBURSEMENTS. 



Salaries or compensation $7.4.52.05 



Special services 48.00 



Total salaries and services $7,500.05 



Miscellaneous : 



Aspbalt 21. .50 



Cement water table 230.00 



Clotb. etc .38.25 



Glass .30.05 



Hardware, tools 4.34.91 



Iron and steel doors, steps, etc 168. 50 



Lime, plaster, sand, fireproof blocks 863. 55 



Lumber 284.73 



Paints, oils, glue, brusbes 221. .59 



Plumbing material 215. 59 



Repairs to roofs (by contract) 144.00 



Steel beams, angles, etc 40.90 



Woodwork 12.30 



Total miscellaneous 2, 706.47 



Total disbursements . 10, 206. 52 



Balance July 1, 1906, to meet outstanding liabilities 4, 793. 48 



