1913.] 



PUBLIC DOCUMENT — No. 31. 



13 



Stale Appropriation, 1911-12. 

 Cash balance brought forward from hist fiscal year, $886 90 

 Casli received from State Treasurer, . . . 16,875 00 

 fertilizer fees, .... 10,277 00 

 faim products, . . . 6,613 10 

 miscellaneous sources, . . 8,143 69 



$42,795 69 



Cash jiaid for salaries, . 

 labor, 



jiubliealions, 

 postage and stationer^', 

 freight and express, 

 heat, light, water and power, 

 chemicals and laboratory sup 



plies, .... 

 seeds, plants and sundry sup 



plies, 

 fertilizers, 

 feeding stuff's, . 

 library, 

 tools, machinery and aj^pli 



ances, . 

 furniture and fixtures, 

 scientific apparatus and speci 



mens, 

 live stock, 

 traveling expenses, , 

 contingent expenses, 

 buildings and land, . 

 balance, . 



$15,024 62 



8,909 03 



1,387 85 



1,004 80 



166 67 



252 91 



772 41 



