FINANCIAL STATEMENT 



OF THE 



COMMISSIONERS OF PEOSPECT PAPJv, 



For the Year 1867. 



The total receipts on account of Pros- 

 pect Park during the year 1867, 

 were : 



Balance of cash in bank, 1st of Jan- 

 uary $123,31 7 81 



From the Treasurer of the city §1,100,000 00 



" Rents of houses on the park . . . 6,002 92 



" Sales of old houses 050 00 



" Sales of wood, grass and old 



material 1,703 51 



" Interest on bank balances 6,43164 1,114,788 07 



Total 81,238,105 88 



The total expenditures for the same 



were : 

 Paid salaries ; comptroller, superin- 

 tendent, landscape architects 



and engineers 24,958 28 



" Surveyors, draftsmen and assist- 

 ants 46,715 83 



" Laborers, keepers, mechanics, 



horses and carts 683,810 93 



" Materials of construction, tools 



and instruments 141,317 93 



" Stationery, printing, drawing 



materials, &c 5,579 18 



" Fitting up offices, furniture, rent 



and repairs 3.131 37 



" Trees, plants and shrubs 12,838 37 



" Manure and other fertilizers. . . . 10,273 34 



" Water pipe and hydrant 12,764 36 



" Drainage pipe 16,752 52 



" Belgian and other pavements. . . 15,761 49 



■ 973,903 60 



Balance to the credit of Prospect Park 



account, Dec. 31st, 1867 264,202 28 



$1,238,105 88 



