1914.1 



PUBLIC DOCUMENT — No. 31. 



41a 



State Appropriation, 1912-13. 



Cash balance brought forward from last fiscal year 

 Cash received from State Treasurer, 



fertilizer fees, 



farm products, . 



miscellaneous sources, 



$6,787 28 



19,875 00 



10,444 99 



4,361 77 



9,357 40 



$50,826 44 



Cash paid for salaries, 



labor, .... 



publications, 



postage and stationery, 



freight and express, 



heat, light, water and power, 



chemicals and laboratory supplies, 



seeds, plants and sundry supplies, 



fertilizers, ..... 



feeding stuffs, .... 



library, 



tools, machinery and appliances, . 



furniture and fixtures, 



scientific apparatus and specimens, 



live stock, 



traveling expenses, 



contingent expenses, 



buildings and land, 



balance, 



$19,736 36 



7,728 98 



1,573 42 



1,152 77 



361 62 



419 87 



1,014 37 



1,104 18 



321 80 



893 68 



215 36 



507 39 



392 97 



104 40 



231 50 



2,737 34 



130 00 



625 88 



11,574 55 



$50,826 44 



