TWENTY-THIRD ANNUAL REPORT 



125 



Unexpended l);d;iiue sis 



Cash in Bank 



Investment: .1^:20,000 

 (•ago, vSt. I. oil is 



Interest on investment 



Piirehase of animals 



Unexpended balance as 



Investment : $20,000 

 cago, St. I.ouis 



Cash in Bank 



daliiualabrr Autmal 3fmxii 



Schedule 11. 



of December 31, 1917: 



$ 1,500.00 



(at par) Illinois Central & Chi- 

 & New Orleans joint .'>% Bonds 20,000.00 $ 21,500.00 



1,000.00 



EXPENDlTrRKS. 



$22,500.00 



$ 725.00 



of December 31, 1918: 

 (at par) Illinois Central & Chi- 

 & New Orleans joint 5% Bonds $20,000.00 

 „ 1,775.00 21,775.00 



H. R. Mitchell, 

 Chief Clerk. 

 January 1, 1919. 



$22,500.00 

 Percy R. Pyne, 



Treasurer. 



Unexpended balance as 



Sale of "Our \'anisliing Wild Ijfe" 



Wiih IGifp Ifunh 



Schedule 12. 



of December 31, 1917 



receipts. 



8G9.01 

 81.00 



EXPENDITURES. 



Telegraph and express 

 Miscellaneous expenses 



1.94 

 18.00 



Unexpended balance as of December 31, 1918 



II. R. Mitchell, 

 Chief Clerk. 

 January 1, 1919. 



950.01 



19.94 



930 07 



$ 950.01 

 Percy R. Pyxe. 



Treasurer. 



Jmprnurmrnt au6 Erpair Arrmtut 



Schedule 13. 



RECEIPTS. 



Transferred from Animal Fund, Gate Receipts (Jan. 1 



to June 30, 1918) 



date Receipts (July 1 to Dec. 31, 1918) 



EXPEXDITURES. 



Walk repairs 



Heating rejiairs 

 Miscellaneous .... 

 I ,ion House 



$ 3,758.95 

 5,105.25 



$ 8,864.20 

 $ 688.92 

 1,056.42 

 344.22 

 .553.14 2,642.70 



I^nexpended balance as of December 31, 1918 



H. R. Mitchell, 



Chief Clerk. 

 January 1, 1910. 



6,221.50 



$ 8,864.20 

 Peijcy K. Pyxe. 



Treasurer. 



