TWENTY-SECOND ANNUAL REPORT 



123 



Brought forward 



Fuel oil and pnsoline 



Janitors' equipment 



Steel and iron 



Office ftirniture and fixtures 



Expressapc and deli\eries 



Tools and machinery . 



Miscellaneous repairs 



Electrical materials 



Lubricatinc oils _... 



Sanitary service _„. . 



Nursery stock and seeds 



Medical attendance, employees 



Glaziers supplies 



Apparatus and machinery repairs 



Drufjs and medicines 



Rubber hose _ 



Fencing and netting 



Ice _ - 



Disinfectants 



Painting labels _ 



Nursery supplies 



Park baskets _.... 



Gas Service _ 



Painters' equipment 



Miscellaneous expenses 



Medical and surgical supplies 



Mats and floor coverings 



Awnings and shades 



Telegraph, cable and messenger service 



Harness and vehicle repairs 



Surgical instruments and appliances 



$194,982.07 



528.85 



493.27 



439.03 



375.75 



261.85 



203.09 



197.30 



187.91 



186.98 



168.00 



166.15 



166.00 



151.56 



147.65 



121.23 



113.80 



109.77 



101.13 



97.10 



94.00 



67.44 



84.00 



66.24 



53.91 



19.00 



18.85 



17.10 



17.00 



15.82 



6.15 



2.70 



$199,560.00 



H. R. Mitchell, 



Chief Clerk. 

 January 16, 1918. 



Percy R. Pyke, 



Treaturer. 



(Sronnb 3mpraurmpnt 3Fun& 



Schedule 3. 



Unexpended balance as of December 31, 1916: 



Erection and Equipment of Power Plant and Work 



Shops $ 



Construction of Fences and Other Permanent Im- 

 provements 



Erection of New Zebra House 



91.19 



3.90 

 10.00 



105.09 



Balances rescinded by the City: 



Erection and Equipment of Power Plant and Work 



Shops __ $ 91.19 



Construction of Fences and Other Permanent Im- 

 provements _. 3.90 



Erection of New Zebra House 10.00 



105.09 



