TWENTY-FOURTH ANNUAL REPORT 167 



Brought forward $43,784.54 



Preparation and mailing: of circulars 2,611.18 



Library Fund (transfer) 100.00 



Miscellaneous expenses 2,831.27 49,326.99 



Unexpended balance as of December 31, 1919: 



Available for expenditure during 1920 945.89 



Investments: 



$1,000 New York, Lackawanna & Western 

 Terminal 4% Bonds (one sold during year 

 for $990) 990.00 1,935.89 



$51,262.88 

 H. R. Mitchell, Percy R. Pyne, 



Chief Clerk. Treasurer. 



January 1, 1920. 



iHatntrnaurp ifunb 



ZOOLOGICAL PARK 

 Schedule 2. 



RECEIPTS. 



Received from the City on account of Park Main- 

 tenance Appropriation of $190,000 for the year $183,328.63 



Due from the City on account of Park Mainte- 

 nance Appropriation 6,671.37 $190,000.00 



Shortage paid from funds of the Zo- 

 ological Society: 



Transferred from Special Mainte- 

 nance 1919 $12,202.33 



Transferred from Income Account 

 from subscription to Special 

 Maintenance 1919 paid in 1920. . . 715.00 12,917.33 



Salary Bonuses paid Park employees from Special 



Maintenance 1919 4,247.67 17,165.00 



$207,165.00 



EXPENDITURES. 



Maintenance of buildings and care of collections $59,634.49 



Maintenance and care of grounds 53,486.56 



General administration 20,988.90 



Food for animals 38,274.72 



Fuel 11,448.59 



Uniforms and miscellaneous wearing apparel. . . . 2,148.69 



Paints and oils 1,386.96 



Lumber 1,300.15 



Plumbing repairs 1,221.96 



Miscellaneous supplies 1,090.18 



Plumbing materials 956.97 



Electric service 883.38 



Miscellaneous materials 826.76 



Miscellaneous equipment 749.62 



Motor vehicle supplies 728.83 



Carried forward $195,126.76 



