Vol. XI] EVERMANN— DIRECTOR'S REPORT FOR mi 549 



REPORT OF THE TREASURER— Continued 



Expenditures 



Expense $ 2,328.72 



Salary Expense (General) 18,073.28 



Bills Payable 10,000.00 



Insurance 1,255.64 



Interest 16,921.58 



Museum, Department Appropriations 4,770.73 



Museum, Department Salaries 12,327.76 



Library 2,267.64 



Publication 6,814.85 



Tools and Equipment 243.20 



U. S. Treasury Certificates 18,000.00 



U. S. Treasury Certificates, Steinhart Trust 27,000.00 



Ignatz Steinhart Trust Interest 52.20 



Steinhart Aquarium Construction 13,146.79 



Yosemite Game Paddocks 200.61 



Grizzly Bear Group 3,236.74 



Antelope Fund 149.05 



W. G. Wright Fund .28 



Post Card Sales 9.50 



Prager Herbarium 1,110.50 



Gulf of California Expedition 3,010.94 



Sundry Creditors 894.32 



Sundry Advances (Museum) 268.08 



Contingent Fund 387.66 



$142,470.07 



March 31, 1922, Balance due Crocker National Bank $ 2,593.95 



M. Hall McAllister, Treasurer. 



Examined and found correct, 



McLaren, Goode & Co., Certified Public Accountants. 

 San Francisco, Calif., April 21, 1922. 



