REPORT OF THE EXECUTIVE COMMITTEE. XLIII 



NATIONAL ZOOLOGICAL PARK, 1905. 

 Balauce July 1, 1905. as per last report $11,157.73 



DISBURSEMENTS. 



Services of horse and cart $1.75 



Buildings 5, 745. 61 



Building material .313. 35 



Fencing, cage material, etc 81. 19 



Food for animals 2.538.41 



Freight 520.21 



Lumber 272. .32 



Machinery, tools, etc 198.88 



Miscellaneous 320. 26 



Paints, oils, glass, etc 134.97 



Postage, telephone, and telegraph 64.22 



Purchase of animals 4.36.14 



Road material, grading, etc 74.30 



Stationery, books, printing, etc 86.53 



Trees, plants, etc 1.00 



Water supply, sewerage, etc 217.25 



Total disl>ursenients 11, 006. 39 



Balance .Tuly 1. 1906. to meet outstanding liabilities 151.34 



NATIONAL ZOOLOGICAL PARK, 1004. 



Balance July 1. 1905, as per last report $1,376.99 



DISBURSEMENTS. 



Freight $1.00 



Buildings 1, 372. 70 



Total disbursements 1. 373. 70 



Balance 3.29 



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

 Treasury Department to the credit of the surplus fund June 30, 1900. 



RECAPITULATION. 



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

 ending June 30, 1906, appears from the foregoing statements to have been as 

 follows : 



SMITHSONIAN INSTITUTION. 



From balance June .30, 1905 $5, 153.92 



From receipts to June 30. 1906 67.662.39 



$72,816.31 



APPROPRIATIONS COMMITTED BY CONGRESS TO THE CARE OF THE 

 INSTITUTION. 



International exchanges — Smithsonian Institution : 



From balance of 1904 $10.08 



From balance of 1905 4,513.95 



From appropriation for 1906 28,800.00 



33, 324. 03 



