ELEVENTH ANNUAL REPORT. 49 



lUquarium 3Jmprol)cinent Jf unb. 



Balance of $40,000 Appropriation as per Report of 1905.... $8,694 64 



Premiums account sale of bonds 1,289 02 



$9,983 66 



EXPENDITURES. 



Through Park Department : 



Lead Lined Pipe Co., Lead-lined pipe $5-995 00 



W. J. Olvany. Measurements of pipes 200 oo 



Barney & Chapman, Commissions 299 75 



Francis K. Ford, Survey 20 00 



W. J. Lawlor, Installing pipe 190 00 



White & Eisenmann, Bolts, etc 12 50 



White & Eisenmann, Bolts, etc 157 62 



John Spence, Jr., Plumbing and installing 



lead-lined pipe 1,097 00 



Barney & Chapman. Commissions 54 85 



Abendroth & Root, Grate bars 125 00 



John Fox, Repairs to water heater 465 00 



Pay-roll. Chief Engineer 210 90 $8,827 62 



Balance available for expenditure 1,156 04 



E. R. S.^XMPSON, 



Disbursing Clerk. 

 January i, 1907. 



$9,983 66 



