130 NEW YORK ZOOLOGICAL SOCIETY 



Animal iFuitii 



Schedule 4.. 

 Unexpended balance as of December 31, 1914: 



Cash in Bank $10,414.12 



Cash on hand 100.00 $10,514.12 



RECEIPTS. 



Special Subscriptions: 



The Junior Auxiliary $o00.00 



*Grant B. Schley 500.00 



*Ed\v. S. Harkness 250.00 1,250.00 



Keceipts from Park: 



Checking $ 38.65 



Miscellaneous 65.25 



Sale of Animals 1,559.70 



Privilege Account, on account of 1915 re- 

 ceipts 5,000.00 $ 6,663.60 7,913.60 



*For purchase of animals during 1916. .l!18,427.72 



EXPENDITURES. 



Mammals $ 4,270.60 



Birds 5,048.42 



Reptiles 1,108.29 



Insect Collection 125.27 10,552.58 



Express and other charges - $ 1,213.42 



Travelling and other expenses 1,463.41 2,676.83 



Unexpended balance as of December 31, 1915: 



Cash in Bank $ 5,098.31 



Cash on hand 100.00 5,198.31 



$18,427.72 

 H. R. :Mitchell, Chief Clerk. Percy R. Pyne, Treasurer. 



January 1, 1916. 



Schedule 5. 

 L'nexpended balance as of December 31, 1914: 



Cash in bank $ 134.69 



Investment: $5,000 Illinois Central Railway 4% Gold 



Bonds 5.056.4G 5,191.15 



RECEIPTS. 



Interest on investment $ 200.00 



$5,391.15 



EXPEXDITURES. 



Preservation of bird life $ 54.90 



Miscellaneous expenses 2.50 57.40 



Unex]iended balance as of December 31, 1915: 



Cash in bank $ 277.29 



Investment: .$5,000 Illinois Central Railway 4% Gold 



Bonds 5,056.46 5,333.75 



$5,391.15 

 11. R. MiTCiiEi-L, Chief Clerk. PriKV R. Pvxi:. Treasurer. 



January 1, 1916. 



