SEVENTH ANNUAL REPORT. 



iHaintcnancc JFunH. 



RECEIPTS. 



Received from City on account of Maintenance 



appropriation of $85,000 for the year $84,593 I3 



Balance due from City on account of Maintenance. . 406 87 — $85,000 00 

 Shortage for the year 2,757 57 



$87-757 57 



EXPENDITURES. 



General administration $9,905 75 



Maintenance of buildings and care of animals 23,046 68 



Maintenance and care of grounds 22,922 20 



Tools and hardware 2,159 04 



Paints and oils 803 64 



Nursery supplies 109 61 



Nursery stock and seeds iii 39 



Office furniture and fixtures 217 55 



Office supplies and printing 596 yj 



Uniforms and badges I,i97 00 



Sanitation 232 TZ 



Horses and vehicles 1,101 84 



Repairs 345 14 



Telephone service and tolls 386 09 



Postage, telegraph, and express 746 91 



Food for animals 14,036 60 



Fuel 4,065 44 



Signs and labels 292 00 



Engineering supplies 35 87 



Drugs and medicines 524 49 



Lumber 1 ,309 06 



Cement 374 95 



Plumbing supplies 346 56 



Stone and screenings 247 50 



Miscellaneous supplies and sundries 754 00 



Telephone and electrical supplies 102 48 



Insurance loi 25 



Fencing and netting 215 45 



Medical attendance (employes) 301 00 



Medical attendance (animals) 850 00 



Ice 318 98 



$87,757 57 



H. R. Mitchell, Charles T. Barney, 



Chief Clerk. Treasurer. 



January i, 1903. 



