FIFTEENTH ANNUAL REPORT 57 



Aquariitm 3lmvinntpmcut iFuttb. 



R. B. F., R. D. p. No. 1. 



Exhibit K. 



Revenue Bond Fund issue for alterations and Repairs to Aquarium 



skylights $5,000.00 



EXPENDITURES. 



Charles Wille, Contract for above alterations $4,740.00 



H. O. Chapman, Architect's Commissions 237.00 $4,977.00 



Balance available for expenditure December 31, 1910 23.00 



$5,000.00 



JoHK J. OdELL, 



Chief Bookkeeper, Department of Parks, 

 Manhattan and Richmond. 

 January 1, 1911. 



Aquarium Smjiraurmput ilTuub. 



Corporate Stock C. D. P. No. 4. 

 Exhibit L. 



RECEIPTS. 



Balance available. Report 1909 $530.25 



Premium Corporate Stock 1.57 



Premium Corporate Stock .06 



$531.88 



EXPENDITURES. 

 1910. 



February 18, Pay Roll $86.38 



March 2, Pay Roll 90.00 



March 9, Pay Roll 11.00 $187.38 



Balance available for Expenditure December 31, 1910 344.50 



$531.88 



John J. Odell, 

 Chief Bookkeeper, Department of Parks, 

 Manhattan and Richmond. 

 January 1, 1911. 



