264 



On the City Hall Park. 

 Paid laborers, horses and carts 



On the City Park. 

 Paid laborers and repairs 



Parade Ground. 



The total receipts on account of the Parade 

 Ground during the year .1868 were : 



From the County Treasurer $13,000 00 



" Sales of old material 139 00 



" Interest on bank balances 310 00 



The total expenditures for the same time were : 



Paid Surveyors and assistants $182 83 



" Materials of construction 2,456 37 



" Mechanics, laborers and teams. . 6,078 01 



" Trees 55 68 



Expended in 1867 250 68 



Balance to the credit of the Parade 

 Ground, December 31, 1868 



$1,343 03 



$367 98 



3,449 00 



9,023 57 



4,425 43 



$13,449 00 



RECAPITULATION. 



Balance of cash 1st January, 1868 .... 



Received on account of Prospect Park. $854,666 62 

 " " other city parks. 72,800 00 



" " Parade Ground. 13,449 00 



Expended on account of Prospect Park . $ 1 ,078,645 1 2 



" " other city parks. 92,263 08 



Parade Ground. 9,023 57 



Balance of cash, Dec. 31, 1861 



$330,638 83 



940,915 62 

 ,271,554 45 



1,179,931 77 

 91,622 68 



[,271,554 45 



