132 NEW YORK ZOOLOGICAL SOCIETY 



Brought forward $36,169.55 



Unexpended balance as of December 31, 1914: 



Available for expenditure during 1915 $15,858.88 



Received from Sustaining Memberships in advance 



for 1916, 1917, 1918 120.00 15,978.88 



Investments : 



$6,000 New York, Lackawanna & Western Terminal 4% 



Bonds (One bond sold during year for $990.) 5,940.00 



$58,088.43 

 H. R. Mitchell, 



Chief Clerk. Percy R. Pyne, 



January 1, 1915. Treasurer. 



ZOOLOGICAL PARK 

 Schedule 2. 



RECEIPTS. 



Received from the City on account of Park Maintenance 



Appropriation of $200,000.00 for the year $176,156.77 



Due from the City on account of Park Maintenance Ap- 

 propriation 23,843.23 $200,000.00 



EXPENDITURES. 



Maintenance of buildings and care of collections _$ 53,817.00 



Maintenance and care of grounds 52,917.20 



General administration 18,892.36 



Food for animal s '. 40,420.38 



Fuel 13,117.65 



Lumber 1,875.61 



Uniforms and badges _ 1,762.00 



Hardware _ 1,556.47 



Hire of horses and vehicles 1,551.00 



Electric service 1,544.38 



Paints and oils v 1,234.92 



Miscellaneous supplies 1,084.05 



Office supplies 860.46 



Telephone service 765.87 



Stationery and printing 745.90 



Miscellaneous equipment 713.53 



Miscellaneous materials 709.87 



Plumbing materials _ _ 600.84 



Janitors' supplies 511.36 



Tools and machinery 399.13 



Office furniture and fittings _ 391.50 



Expressage and deliveries - 385.83 



Fuel oil and gasoline 359.87 



Disinfectants '.. - 357.95 



Glaziers' supplies - - 266.46 



Apparatus and machinery repairs 265.63 



Janitors' equipment - 237.15 



Medical attendance (employees) 220.00 



Steel and iron - _ 210.81 



Furnace repairs 207.89 



Carried forward - - $197,983.07 



