SEVENTH ANNUAL REPORT. 51 



(Seneral jFunU. 



RECEIPTS. 



Cash balance in Treasury, January I, 1902 $4,163 08 



Annual dues from members $8,880 00 



Life membership fees 3,200 00 



Interest Stokes Bird Fund 125 01 — 12,205 01 



$16,368 09 



EXPENDITURES. 



General office expenses $1,853 T2> 



Salary of Secretary 2.500 00 



Photographs and slides 1,823 68 



Stationery, printing, and office supplies (general 



office) 29923 



Treasurer's office expenses 267 04 



Advertising matter 66 85 



Miscellaneous expenses and supplies 631 54 



Library 224 73 



Guide Books 27 81 



Rocking Stone Restaurant 1,042 63 



Zoological Park Relief Association 120 00 



Live animals 1,260 00 



Employers' insurance 264 62 



Annual Report and Bulletin 1.161 41 



Pathological equipment .307 13 



Interest 21602 



European trip, for account Aquarium 200 00 



Geographical Distribution of Animals 287 00 — $12,553 42 



Cash balance in Treasury, December 31, 1902 3-8i4 67 



$16,368 09 



H. R. ]\IiTCHEi.L, Charles T. Barney. 



Chief Clerk. Treasurer. 



January i, 1903. 



