BROOKLYN PARK COMMISSIONERS. 



21 



FINANCIAL STATEMENT FOE THE YEAR 1881. 



MAINTENANCE OF PARKS. 



UnexjDencled balance of 1880 



Arncmiit appropriated by Common Council 



Amount appropriated by direction of the Legislature. . . . 



Amount derived from Park revenue and paid into City 



Treasury 



Items of expense certified to Auditor : 



Payrolls of mechanics, keepers, laborers, horses and 



carts ". 



Bills for supplies, feed, hardware, lumber, Arc 



Insurance 



Music on Prospect Park 



Royalty on water trucks 



Balance, January 1, 1882 

 Total 



$11 80 

 70,000 00 

 20,000 00 



7,112 04 



$75,205 20 



21,016 96 



150 20 



420 00 

 300 00 



8.97,123 84 



§97,122 42 

 1 42 



$97,123 84 



MAINTENANCE OF EASTERN PARKWAY. 



Unexpended balance of 1880 



Amount appropriated by Common Council 



Items of expense certified to Auditor 



Payrolls of laborers, horses and carts 



Trees 



Royalty on water trucks 



Supplies 



Printing 



Balance, January 1, 1882 

 Total 



$1 18 

 4,000 00 



$3,618 28 



260 00 



100 00 



10 85 



10 25 



$4,001 18 



$3,999 38 

 1 80 



$4,001 18 



