FINANCIAL REPORT. 
RECEIPTS FOR TWO YEARS. 
July 1st, 1913, to June 30th, 1915. 
Appropriation for fiscal year 1913-1914______________ $6,200.00 
Appropriation for fiscal year 1914-1915______________ 7,150.30 
Receipts of Commission fiscal year 1913-1914__________ 1,527.08 
Receipts of Commission for year 1914-1915__________ 1,840.70 
Total Receipts for two years__________-_______ $16,718.08 
DISBURSEMENTS FOR TWO YEARS. 
July 1st, 1913, to June 30th, 1915. 
Refund to City Treasury June 30th, 1914__________ $ 597.55 
Refund to City Treasury June 30th, 1915__________ 357.14 
Trees purchased for street and nursery planting_____ 3,117.23 
Wire for tree guards, stakes, hose and creosote oil____ 1,416.03 
Labor tree trimming and tree surgery_______________ 2,077.50 
Labor tree planting, cultivating, watering, Nursery 
preparation and cultivation__________----_--__-_ 4,742.30 
Hire of teams for planting, cultivating, spraying, 
muleh,, ete: 2.c sso. 502.0 Soe e oe eee 285.20 
Purchase of horse, wagon and harness_____________- 275.30 
Tools, lumber, supplies, scalicide, dynamite, sand, ce- 
ment, eles 2.2 25225266 aa 1,016.64 
Heed fOr Cea 2 xo eh sein ane De a Ge ee hel 281.42 
Repairs of wagon, harness, tools, shoeing, etc.._______ 40.60 
Water Rent, Insurance, etc. _______________________ 86.32 
Construction Nursery fence and moving tool house__-_ 245.13 
Services secretary and stenographer________________ 1,842.75 
Stationary, printing, postage, car fare and sundry 
OLTICE EXPENSES 22 eee 326.97 
American Civic Association dues___----------______ 10.00 
$16,718.08 
Less refund to City Treasurer_.._____________ 954.69 
Total expenditures for two years____--___-_-____ $15,763.39 
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