TWENTY-FIFTH ANNUAL REPORT 143 



Animal JFunb 



Schedule 3. 



Unexpended balance as of December 31, 1919: 



Cash in bank $39,604.39 



Cash on hand 100.00 $39,704.39 



RECEIPTS. 



Junior Auxiliary 600.00 



Receipts from Park: 



Sale of animals $638.00 



Checking 25.99 



Miscellaneous 128.43 



Privilege Account, account 1920 receipts 20,000.00 



Boating, account 1920 receipts 10,000.00 30,792.42 



$71,096.81 



EXPENDITURES. 



Mammals $10,788.89 



Birds 16,141.81 



Reptiles 1,951.20 



Insect collection 71.65 $28,953.55 



Express and other charges 1,767.81 



Traveling and other expenses 2,039.72 3,807.53 



Unexpended balance as of December 31, 1920: 



Cash in bank 38,235.73 



Cash on hand 100.00 38,335.73 



$71,096.81 

 H. R. Mitchell, Percy R. Pyne, 



Chief Clerk. Treasurer. 



January 1, 1921. 



^tflkpH Sirb iFunb 



Schedule 4. 

 Funds as of December 31, 1919: 



Unexpended balance $658.54 



Investment: $5,000 Illinois Central Railway 



4% Gold Bonds 5,056.46 $5,715.00 



receipts. 

 Interest on investment 200.00 



$5,915.00 

 expenditures. 



Preservation of bird life $500.00 



Funds as of December 31, 1920: 



Investment: $5,000 Illinois Central Railway 



4% Gold Bonds $5,056.46 



Unexpended balance 358.54 5,415.00 



$5,915.00 

 H. R. Mitchell. Percy R. Pyne, 



Chief Clerk. Treasurer. 



January 1, 1921. 



