EEPOET OF THE EXECUTIVE COMMITTEE. XLI 



Miscellaneous: 



Lumber $84. 27 



Brick, cement, plaster, gravel, lime, sand 58.35 



Hardware and tools 257. 21 



Paints, oils, brushes 14. 50 



Woodwork 258. 74 



Paper 7. 50 



Slate - 770. 40 



Total miscellaneous expenditure $1, 450. 97 



New boilers. 



Special services $65. 00 



Total services 65. 00 



Miscellaneous: 



Brick, stone, cement, lime, gravel, sand. 4. 00 



Pipe, fittings, etc 286. 00 



Hardware and tools 19. 00 



Paint 1. 80 



Travel 43. 05 



Total miscellaneous 353. 85 



Total expenditure, new boilers 418. 85 



Total expenditures $1, 911. 07 



Balance July 1, 1903 27. 23 



NATIONAL MUSEUM— BUILDING REPAIRS, 1901. 



RECEIPTS. 

 Balance as per report July 1, 1902 |0. 04 



Balance carried, under provisions of Revised Statutes, section 3090, by the Treas- 

 ury Department to the credit of the surplus fund, June 30, 1903. 



N.\TIONAL MUSEUM— GALLERIES, 1902. 

 RECEIPTS. 



P.alance as per report July 1, 1902 $37. 92 



EXPENDITURES. 



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



Lumber $19. 25 



Cement 1 7. 50 



T(jtal exisenditures . _ 36. 75 



Balance July 1, 1903 1. 17 



Total slalemenl of receipts and e.rpenditures. 



[July 1, 1901, to June 30, 1903.] 



RECEIPTS. 



Appropriation by Congress March 3, 1 901 $5, 000. 00 



