TWENTY-FIRST ANNUAL REPORT 135 



Brought forward $30,88.5.90 



Aid to Employees _._ _ 4,50.00 



Pension I'lind Income Account 3,915.00 



Art (iallery Fund (transfer) 3,770.65 



Engineering expenses 425.30 



Live juiimais 3,904.00 



Zoopathologica . 354.39 



Insurance „ 257.50 



Enijilovees co-operati\e store 700.00 



Plieasant Mono<;i,iph - 200.00 



Miscellaneous ojunscs 2,284.44 47,147.24 



L^nexpended Ijalaiice as of December 31, 1916: 



.\vailal)le for exj^enditure during 1917 _ 10,928.47 



Received from Sustaining Memberships in advance for 



1918 40.00 



Investments: 



$4,000 New York, Lackawanna & Western Terminal 



4% Bonds (one bond sold during year for $990) 3,960.00 14,928.47 



$62,075.71 



H. R. Mitchell, Percy R. Pyxe, 



Chief Clerk. Treasurer. 



January 1, 1917. 



fHaxntntaurr iFuttii 



ZOOLOGICAL PARK 

 Schedule 2. 



RECEIPTS. 



Received from the City on account of Park Maintenance 



Appropriation of $197,074.35 for the year $178,373.87 



Due from the City on account of Park Maintenance Ap- 

 propriation 18,800.48 $197,074.35 



EXPENDITURES. 



Maintenance of buildings and care of collections 57,389.14 



^laintenance and care of grounds 51,472.87 



General administration 19,336.00 



Food for animals 35,514.25 



Fuel 10,546.62 



Luml)er 2,301.84 



Uniforms and miscellaneous wearing apparel 1,727.82 



Plumbing ma terials 1,528.70 



Hire of horses and vehicles 1,518.94 



Electric service 1,190.25 



Paints and oils 1,100.20 



Miscellaneous materials _ 927.54 



Stationery and printing 903.11 



Miscellaneous supplies 855.27 



Telephone service 789.75 



Steel and iron _ _ 787.68 



Office supplies _ _ _ 765.68 



Miscellaneous equipment _ - 746.88 



Carried forward $189,402.54 



