TWENTY-FIFTH ANNUAL REPORT 141 



Drouc/ht fonrard $46,912.93 



Aquarium tanks 2,540.00 



Preparation and mailing circulars 1,917.00 



Special Maintenance Fund 1920 (transfer) 2,000.00 



City Fund 715.00 



Aquarium Fund (transfer) 407.07 



Library Fund (transfer) 350.00 



Heads and Horns P'und (transfer) 300.00 



Miscellaneous expenses 2,106.42 57,248.42 



Unexpended balance as of Decem'ber 31, 1920 9,289.98 



$66,538.40 



H. R. Mitchell, Percy R. Pyne, 



Chief Clerk. Treasurer. 



January 1, 1921. 



iHatntpnaurp IFimb 



ZOOLOGICAL PARK 



Schedule 2. 



RECEIPTS. 



Received from the City on account of Park Main- 

 tenance Appropriation of $237,930.97 for the 

 year $219,387.01 



Due from the City on account of Park Mainte- 

 nance Appropriation 18,543.96 $237,930.97 



Received from the City on account of Special Rev- 

 enue Bonds of $12,612.41 for increasing sal- 

 aries of employees from August 20, 1920 10,765.26 



Due from the City on account of Special Revenue 



Bonds allowed as above 1,392.04 



Balance Special Revenue Bonds unexpended 455.11 12,612.41 



Shortage paid from funds of the Zoological Society: 

 Transferred from Income Account from sub- 

 scription to Special Maintenance 1920 1,443.80 



Salary Bonuses paid Park employees from Spe- 

 cial Maintenance 1920 2,236.92 3,680.72 



$254,224.10 



EXPENDITURES. 



Maintenance of buildings and care of collections. $76,760.55 



Maintenance and care of grounds 69,476.06 



General administration 25,139.49 



Food for animals 42,560.22 



Fuel 15,864.05 



Lumber 2,231.32 



Uniforms and miscellaneous wearing apparel. . . . 2,085.32 



Plumbing repairs 1,599.68 



Paints and oils 1,461.59 



Carried forn-ard $237,178.28 



