XLVI REPORT OF THE EXECUTIVE COMMITTEE. 



Micellaneous— Continued. 



Brick 17. 50 



Lumber - - - 6. 29 



Lime, mortar, sand 15. 70 



Total expenditures I'*>f • 17 



Balance July 1, 1900 91 



BUILDING RP:PAIRS, 1899. 

 Total statrnicnt of nreipts and expendihir^s. 



KKCEIPTS. 



Appropriation by Congress July 1, 1898 $4, 000. 00 



KXPKNDITURES. 



Salaries or compensation $97:1 01 



Special services - 1 7. 00 



Total services $990. 01 



Miscellaneous: 



Terrazzo and mar])]e floors 1, 420. 56 



Lumber 545. 45 



Woodwork - 264. 00 



Cement 199. 00 



Hardware and tools 172. 53 



Mortar, sand, gravel, lime, slate 150. 31 



Paints and oils 89. 89 



Iron grills - 29. 60 



Brick 35. 85 



Tiles - 31. 80 



Removing dirt . 25. 00 



Brushes 10. 50 



Blue prints 2. 59 



Glass 27. 80 



Travel 4. 20 



Total miscellaneous 3, 009. 08 



Total expenditures - - 3, 999. 09 



Balance July 1, 1900 '. .91 



NATIONAL MUSEUM— BUILDING REPAIRS, 1898. 



Balance as per report July 1, 1899 |4. 53 



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

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



NATIONAL MUSEUM— GALLERIES, 1899. 

 Balance as per report July 1, 1899 $4, 301. 66 



EXPENDITURES. 



Ironwork |1, 983. 88 



Hardware 13. 57 



Cement, etc 138. 85 



