SIXTEENTH ANNUAL REPORT 57 



Broiujht forward - $173,0x?0.1T 



Electrical supplies 16;?. 63 



Drugs and medicines 16^.07 



Stable supplies and repairs 135.04 



Rubber hose - 131.63 



Glass and g-laziers' supplies 120.70 



Horses and vehicles 90.25 



Park baskets 82.20 



Nursery supplies 57.35 



Mats and floor coverings 48.70 



Engineering supplies - 30.84 



Nursery stock and seeds - 30.55 



Awnings and shades 11.05 



Surgical instruments and appliances 7.56 



Miscellaneous supplies 489.00 



Unexpended balance to revert back to the City 52.26 $174,632.00 



H. R. Mitchell, Percy R. Pyne, 



Chief Clerk. Treasurer. 

 January 15, 1912. 



(Srnitrtb Slm^raucmput iFunb. 



Schedule 3. 



Showixg Status of Appropriatiox Xo. 5. 



Unexpended balance of Appropriation No. 4 brought forward $3,099.78 



Reductions on various contracts, old account 1,416.96 



receipts. 

 Appropriated bv Board of Estimate and Apportionment: 



Available, Julv, 1908 $ 65,000.00 



Available, August, 1909 10,000.00 



Available, August, 1910 84,500.00 



Available, October, 1911 155,000.00 314,500.00 



Premium on bonds to December 31, 191] 1,260.02 



$320,276.76 

 expenditures. 

 B'l the Zoological Soriet;/: 



Bear Den walk, steps and railing $ 198.50 



Baird Court Boundary and Concourse 48.52 



Crematory and fuel shed 489.76 



Axis and Sika Deer Fences 1,337.63 



Guard rails 1,789.79 



Boundary fences 3,303.58 



Elephant House walks and yards 1,797.94 



Forestry and planting 11,450.08 



Miscellaneous 5,450.58 



West farms block 1,066.56 



New walks - 1,020.08 



Llama yards 377.48 



Reconstruction of walks 2,637.45 



Filling Duck Aviary 572.10 



Boston Road Public Comfort Station : 10.00 



North end of Baird Court 947.61 



Public Comfort Station, Elephant House 1,978.20 



Carried forward - $34,475.86 



