XXXVI REPORT OF THE EXECUTIVE COMMITTEE. 



NATIONAL MUSEUM— RENT OF WORKSHOPS, 1897. 



Balance July 1, 1898 $0. 08 



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

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



NATIONAL MUSEUM— BUILDING REPAIRS, 1899. 



Receipts. 



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

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

 nectssary labor and material " $4, 000. 00 



Expenditu'i es. 

 Salaries or compensation: 



1 acting foreman, 30 days, at $2.40 $72. 00 



1 carpenter, 53 days, at $3 159. 00 



1 carpenter, 27 days, at $3 81. 00 



1 carpenter, 53 days, at $3 159. 00 



1 carpenter, 26 days, at $3 78. 00 



1 skilled laborer, 12 J days, at $2 25. 00 



1 laborer, 8 days, at $1.50 12. 00 



1 laborer, 12 days, at $1.50 18. 00 



1 laborer, 19 days, at $1.50 28.50 



1 laborer, 15 days, at $1.50 22. 50 



1 laborer, 19 days, at $1.50 28. 50 



1 laborer, 27 days, at $1.50 40. 50 



1 laborer, 27 days, at $1.50 40. 50 



1 laborer, 27 days, at $1.50 40. 50 



1 laborer, 19 days, at $1.50 28. 50 



1 laborer, 27 days, at $1.50 40. 50 



1 laborer, 40| days, at $1.50 61. 13 



1 laborer, 4 days, at $1.50 6. 00 



1 laborer, 21} days, at $1.50 31. 88 



$973. 01 



Miscellaneous: 



Terrazzo and marble floors 1, 420. 56 



Lumber 539. I6 



Woodwork 264. 00 



Cement 188. 45 



Hardware and tools 164. 40 



Mortar, sand, gravel, lime, slate 134. 61 



Paints and oils 89. 89 



Iron grills 29. 60 



Brick 28. 35 



Tiles 31.80 



Removing dirt 25. 00 



Brushes 10.50 



Blue prints 2. 59 



Glass 1 2. 80 



Travel 4. 20 



2, 945. 91 



Total 3^ 918. 92 



Balance July 1, 1899 81. 08 



