KEPOllT OF THE EXECUTIVE COMMITTEE. XLVII 



Drawings $4. 00 



Advertising 9. 87 



Bricks 7. 50 



Woodwork 156. 00 



Skylights and ventilators 1, 782. 20 



Total expenditures $4, 095. 87 



Balance July 1 , 1900 205. 79 



GALLERIES, 1S99. 



Total staletiit'iit of receipU and e.cpenditures. 



RECEIPTS. 



Aitjiropriation by Congress, July 1, 1898 $10, 000. 00 



EXPENDITURES. 



Salaries or compensation $940. 56 



Total salaries $940. 56 



^Miscellaneous: 



Ransonie arches 1, 609. 38 



Ironwork 3, 322. 23 



Terrazzo tioor and marble 1, 295. 09 



Lumber 103. 34 



Blue i)riiits and drawings 81. 00 



Advertising 61. 07 



Hardware and tools 54. 56 



Sand, slate, cement, mortar 234. 45 



Brick 46. 00 



. Canvas 29. 21 



Paint , 25. 65 



Travel 23. 10 



Sheeting 21.12 



Paper 5. 25 



Drawings 4. 00 



Woodwork , 156. 00 



Skylight- and ventilators 1, 782. 20 



Total miscellaneous 8, 853. 65 



Total expenditures 9, 794. 21 



Balance July 1, 1900 205. 79 



NATIONAL MUSEUM— GALLERIES, 1898. 



Balance as jter report July 1, 1899 $8. 87 



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— REBUILDING SHEDS, 1898. 



Balance as per report July 1, 1899 $0. 78 



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

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



