TWENTY-FIRST ANNUAL REPORT 137 



191.5 GUOUXI) IMPROVEMENT ACCOUNTS 



Construction of Hospital Building : 



Balance available. December 31, 191.5 $ 3,70-2.90 



EXPENDITURES. 



Bij the Zoological Society $ 887.63 



"" " " " throtigh Park Department 297.G0 1,185.22 



Balance available, December 31, 1916 2,517.68 



$ 3,702.90 



Construction of Sliding Door and Reinforcing Elephant 

 House Fence: 

 Balance available, December 31, 1915 •$ 111.14 



EXPENDITURES. 



Eg the Zoological Society _ $ 111.00 



Balance available, December 31, 1916 .14 



111.14 



New Paint and Oil Storage Shed: 



Balance available, December 31, 1915 $ 143.75 



EXPENDITURES. 



By the Zoological Societt/: 141.47 



Balance available, December 31, 1916 2.28 



$ 143.75 



PouUri/ Breeding House: 



Balance available, December 31, 1915 $ .63 



Balance available, December 31, 1916 $ .63 



Paving Bottom of Duck Pond: 



Balance available, December 31, 1915 $ 2,059.66 



EXPENDITURES. 



By the Zooloqical Society .$ 942.89 



" " "* " through Park Department 1,082.73 2,025.62 



Balance available, December 31, 1916 34.04 



$ 3,059.66 



H. R. Mitchell, Percy It. Pyne, 



Chief Clerk. Treasurer. 



January 1, 1917. 



