234 SEVENTEENTH AND EIGHTEENTH 



SUPPLEMENTARY STATEMENT OF FUNDS OTH- 

 ER THAN THE HATCH FUND FOR THE YEAR 

 ENDING JUNE 30, 1905. 



Receipts. 



Cash received, analytical fees, etc $1,702.83 



Expenditures. 



Cash paid for salaries and labor $361.24 



freight and express 4.79 



heat, light, and water 500.00 



apparatus and supplies 88.53 



library .75 



tools, implements, and machinery 1.20 



furniture and fixtures 14.26 



traveling expenses 25.55 



buildings and repairs 92.16 



Balance 614.35 



$1,702.83 



