For the Year Ending December 31, 1906. 



T he annual expenditure of the various funds is shown in the appended statements 



(General Jfunb. 



Cash in Treasury. January i. 1906 $9,856 00 



receipts. 

 Sale of Aquarium Publications 172 44 



$10,028 44 



expenditures. 



Aquarium Publications $210 64 



Income Account (Transfer) 3,ooo 00 



Architects' Commissions 778 48 



Cash Balance, December 31. 1906 6.039 Z~ 



$10,028 44 



H. R. ]\Iitchell. Percy R. Pvne, 



Chief Clerk. Treasurer. 



January i. 1907. 



