TWENTY-THIRD ANNUAL REPORT 119 



/iniiu/hf forward H^2,WJ.J:) 



Military service allowance 2,70!)..j:{ 



Red Cross War Fund 39-2.00 



.Miscellaneous expenses 2,\70.02 '.i7,333.m 



Unexpended balance as of December 31, 1918: 



Available for expenditure during 1919 10,877.34 



/ nz'esfi'iei'ts: 



•■fi-J/lOO \e\v '\'ork. I,;icka\vanna & Western Terminal 



■1% Bonds (one IkjikI sold during year for .$990) 1,980.00 12,857.24 



.$.50,191.01 

 II. R. MiTciiFi.i., Percv R. Pyxk. 



Chief Clerk. Treasurer. 



January 1, 1919. 



ilatntpnanrp iFitnb 



ZOOLOGICAL PARK. 



Foit TIIK Ye.\K 1918, AS OF J.\NIAUY l.J, 1919. 



Schedule 2. 



RECEIPTS. 



Received from the City on account of Park Maintenance 



Appropriation of $207,586.00 for the year $192,5 17.:}0 



Due from the City on account of Park Maintenance 



Aj)propriation ' 15,0.38.70 $207,58().00 



EXPENDITURES. 



Maintenance of l)uildings and care of collections $()0,662..'U 



Maintenance and care of groimds 52,854.82 



General administration 19,795.71 



Food for animals 41,4:30.0;} 



Fuel 13,593.79 



Lumber . I,(i47.59 



Paints and oils l,f)44.70 



Uniforms and miscellaneous wearing apparel 1,575.42 



Plumi)ing repairs 1,122.00 



Tools and machinery 864.87 



.Miscellaneous materials 863.96 



Electric service 853.41 



Office sujjplies 831.31 



Tele]ihone service 724.57 



.Steel and iron 656.06 



Miscellaneous supplies 643.60 



Furnace re])airs aiul replacements - 642.13 



Fuel oil and gasoline 523.46 



Stationery and printing 504.73 



,T;initors' supj^lies 499.33 



Fencing and netting 478.91 



Miscellaneous equi])nient 461.34 



Pluml)ing materials 438.30 



Bolts, nails and hardware 401.16 



Sand, cement and brick 368.50 



Glaziers' materials 367.50 



Carrie (I forxcard $204,449.54 



