FINANCE COMMITTEE S REPOET. 



do 



Receipts. 



By cash in the treasury, December 31, 1863, 

 Dividends from stocks, 

 Assessments and Admissions, . 

 Receipts from Mount Auburn, . 

 Interest from H. D. Parker, 

 Rents collected, 



Receipts from Annual Exhibition, 

 Cash donations for special prizes, 

 Miscellaneous Receipts, 



^1,193 53 



1,184 00 



1,974 20 



6,897 44 



3,600 00 



2,669 17 



968 00 



175 00 



303 57 



By cash from sale of stocks, . 



Sales 4 Certificates Coupons, 6, (1,000 ea.,)with int., 

 Rec'd payment $6,000 Loan to Old Col. R. R., do., 

 do. 4,000 do. do. do, do., 



do. from H. D. Parker, on his note, 



Payments. 



Disbursements 



To cash paid premiums and gratuities, . $2,042 00 



Salaries, $700 ; Chairman's, $175, 875 00 



Rents collected, . . 1,550 00 



Expenses Annual Exhibition, . 1,618 76 



Library Books, . . 410 66 

 Taxes, #1,197 ; Insurance, #536.94, 1,733 94 



Printing and Advertising, . 116 75 



L. Farnum in full, for History, . 100 00 

 Laying corner-stone, including 



• platform, ... 489 78 

 Interest on $100,000 mortgage 



notes, 5 l-2c., . . 5,500 00 

 Engravings, testimonials, me- 

 chanics and miscell'ous bills, 552 32 



Temporary investments. 



To cash paid for Old Colony Railroad Note at 6 per cent., . 

 do. do. do. 6 do. 



16 Certificates indebtedness, 1,000 each, due in 

 March, (cost) .... 



on new building, (see Construction Account,) . 

 for preferring 97 shares Con. & Pas. R. R., do- 

 nation from Dr. Walker, and now made into 



#18,964 91 



27,486 46 



4,381 60 



6,181 00 



4,204 00 



38,000 00 



#99,217 97 



14,989 21 



6,000 00 

 4,000 00 



15,978 65 

 53,100 00 



