XXXII REPORT OF THE EXECUTIVE COMMITTEE. 



Expenditures July 1, 1898, to June 30, 1899. 



Special services . 

 Cotton, cloth, etc 



Cases 



Frames 



Glass jars 



General. Galleries. Total 



S7. 4.5 

 22. .50 



Rubber . 



Tools 



Paints and oil .. 



Hardware 



Lumber 



Office furniture. 



23.40 



5.00 



10.58 



5.86 



68. 80 



40.72 



118. 61 



111.05 



Total ' 413. 97 



Balance, July 1, 1899 



SI. 25 



1,050.00 



67. 76 



104. 25 

 "68." 40' 



S7.45 



23. 75 



1,0.50.00 



91.16 



5.00 



14.18 



5.86 



68.80 



144.97 



118. 61 



179. 45 



1,295.26 



1,709.23 

 1.23 



TOTAL STATEMENT OF RECEIPTS AND EXPENDITURES FOR FURNITURE AND 



FIXTURES, 1898. 



Receipts. 



Aijpropriation June 4, 1897 (including H-"), 000, furnishing galleries) $30,000 



Expenditures. 



Salaries 18,8-55.71 



Special services 400. 06 



Regular. 



Total services ; 9, 255. 77 



Miscellaneous: 



Exhibition cases 



Storage cases 



Drawers, trays, etc 



Frames and woodwork. 



Glass 



Hardware 



Tools 



Cloth 



Glass jars 



Lumber 



Paints, oils, etc 



Office furniture 



Plumbing 



Leatlier and rubber 



Iron brackets 



Travel 



Apparatus 



Brick, plaster, tiles 



Drawings for cases 



Total miscellaneous . 



Total 



Balance July 1, 1899. 



115.00 



162. 50 



521.85 



136. 80 



625. 66 



751. 05 



73.22 



96.99 



446.34 



, 125. .52 



615. .58 



692. 40 



12.92 



39.92 



195. 69 



34.30 



21.96 



75.53 



Galleries. 



1, 800. 75 

 9.50 



Total. 



4,810.25 I »14,066.02 



6, 557. 90 

 415. 00 

 207. 36 

 4.55.38 

 859. 34 

 547.15 



16.35 



520. 04 

 "76." 46' 



3.60 

 36.00 



200.00 



2.00 



293. 00 



5,743.23 ' 10, 189. .52 



14,999.90 , 14.999.77 



29, 99.H. 77 



1.2;} 



FURNITURE AND FIXTURES, 1897. 



Balance July 1, 1898, as per last annual report $8. 30 



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

 Treasury Department to the credit of the surplus fund June 30, 1899. 



HEATING AND LIGHTING, 1899. 



Receipts. 



Appropriation by Congress for the fiscal year ending June 30, 1899, "for 

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

 service for the National Museum, including salaries or compensation of 

 necessary employees" (sundry civil act, July 1,1898) $14,000.00 



