TWENTIETH ANNUAL REPORT 129 



EXPENDITURES. 



By the Zoological Society $ 693.20 



" " " " Through Park Department 320.66 l,013.g 



Balance available, December 31, 1915.. 



$ 1,125.00 



Six New Drinking Fountains: 



Appropriations available in January, 1915 $ 600.00 



EXPEXDITURES. 



By the Zoological Society $ 336.48 



" " " " Through Park Department 263.52 $ 600.00 



New Paint and Oil Storage Shed: 



Appropriation available in January, 1915 $ 300.00 



Through Park Department $ 156.25 



Balance available December 31, 1915 143.75 $ 300.00 



Poultry Breeding House: 



Appropriation available in January, 1915 $ 1,400.00 



EXPEXDITURES. 



By the Zoological Society $ 659.22 



" " " " Through Park Department 740.15 1,399.3; 



Balance available, December 31, 1915 .63 



$1,400.00 



Paving Bottom of Duck Pond: 



Appropriation available in November, 1915 $ 3,000.00 



EXPEXDITURES. 



By the Zoological Society $ 940.34 



Balance available, December 31, 1915 2,059.66 



H. R. Mitchell, Pehcy R. Pyxe, 



Chief Clerk. Treasurer. 



January 1, 1916. 



