( 324) 
REPORT OF THE TREASURER 
New York, January 9, 1914. 
To THE Boarp oF ManaGeErs OF THE New York Botan- 
ICAL GARDEN. 
Gentlemen: Herewith I submit a statement of my re- 
ceipts and disbursements during the year 1913, and a 
balance sheet from my ledger as of December 31, 1913. 
Respectfully yours, 
James A. SCRYMSER, 
Treasurer. 
Receipts AND DisBURSEMENTS 
Receipts 
Balance as perlast Annual Report....... $ 11,261.98 
Contributions of the City toward oe and 
maintenance. 66. kee eee eee eee 91,723.40 
Subscriptions to Rudeeument Find for Science and 
Education. Be eee alan age ey ees 66,845.00 
Legacy, Henry ie: See. erga des 10,000.00 
Donation from Mrs. John Innes Kane, for fond to 
be known as the John Innes Kane Fund.... .. 10,000.00 
General Investment Account (Principal) 
Canada Southern Railway Co. 
Bonds, matured January 1, 1913. $50,000.00 
Interborough Rapid cee sit 
Bonds, redeemed November 12, 
1913, At IOS. ws we ee eee 52,500.00 102,500.00 
Income from General ee ee: 
Credited General Income Account: 
5 per cent. on $50,000 Southern 
Ry. Co. 1st Consolidated Mort- 
gage Bonds. ................ $ 2,500.00 
414 ae on $50,000 Ches. & 
Ohio R. R. Co. General Mortgage 
a ee 2,250.00 
4 per cent. on $50,000 Erie R. R. 
Co. Prior Lien Bonds. . 2,000.00 
4 per cent. on $59,000 Erie R. R. 
Co. Penn.-Coll. Trust Bonds. 2,360.00 
