REPORT OF THE EXECUTIVE COMMITTEE. XXXIX 



NATIONAL MUSEUM— RENT OF WORKSHOPS, 1903. 

 RECEIPTS. 



Appropriation by Congress for the fiscal year ending June 30, 1903, "for 

 rent of workshops and temporary storage quarters for tlie National 

 Museum" (sundry civil act, June 28, 1902) $4, 400. 00 



EXPENDITURES. 



[July ], 1902, to June 30, 1903.] 

 Total expenditures 4, 399. 92 



Balance July 1, 1903 .08 



NATIONAL MUSEUM— RENT OF WORKSHOPS, 1902. 



Balance as per report July 1, 1902 $0. 08 



Balance July 1, 1903 .08 



NATIONAL MUSEUM— RENT OF WORKSHOPS, 1901. 

 RECEIPTS. 



Balance as per report July 1 , 1902 $0. 08 



Balance carried, under provision's of Revised Statutes, section 3090, by the Tr-'asury 

 Dei^artment to the credit of the surplus fund, June 30, 1903. 



NATIONAL MUSEUM-BUILDING REPAIRS, 1903. 



RECEIPTS. 



Appropriation by Congress for the fiscal year ending June 30, li103, "for 

 repairs to buildings, shops, and sheds, National Museum, including 

 all necessary labor and material" (sundry civil act, June 28,1902) $15,000.00 



EXPENDITURES. 



[.July 1, 1902, to June 30, 1903.J 



Salaries or compen.sation §10, 167. 89 



Special services 299. 80 



Total services .?10, 467. 69 



Miscellaneous: 



Lumber 447. 90 



Cement, plaster, gravel, lime, sand, mortar.. 206.01 



Hardware, tools, etc 264. 13 



Paints, oils, glue, brushes 505. 70 



Woodwork 85. 98 



Skylights and ventilators 428. 00 



Glass 84. 85 



Cloth, cotton, etc 1. 50 



Paper 40. 50 



Drawings 35. 00 



Slating roof 750. 00 



Steel beams 47. 77 



Brickwork , 106. 00 



Total miscellaneous 3, 003. 34 



Total expenditures 13, 471. 03 



Balance July 1, 1903 1, 528. 97 



