16 KEPORT OF THE 



$100,250.21 to the credit of the fund, subject to outstanding 

 contracts. 



Of the $3,000.00 in the Revenue Fund placed at the disposal 

 of the Park Department for the purchase of an additional water 

 supply, $1,402.47 have been expended. 



The County appropriated $15,000.00 for the use of the De- 

 partment, which, with the balance from the previous year of 

 $1,208.64, made a total ot $16,268.64. Of this, $3,768.64 was 

 for the maintenance of the Parade Ground; $2,500.00 for main- 

 tenance of the Concourse, and $10,000.00 for the building of a 

 Pier at Coney Island. This latter sum was transferred, by reso- 

 lution of the Board of Supervisors, to an account called Improve- 

 ment of County Roads. There has been expended for mainte- 

 nance of the Parade Ground, $3,747.00, leaving a balance of 

 $21.64; for the Concourse, $2,500.00, no balance; for County 

 Roads, $2,277.22, leaving a balance of $7,722.78. 



Following will be found a detailed account of the expenditures, 

 including those of the Park Site Improvement Fund, together 

 with the Reports of the Superintendent, the Labor and Property 

 Clerk and the Captain of Police ; also plans of all City Parks 

 and the Concourse, showing the line of destruction made by the 

 sea. 



Appended will also be found Laws passed by the last Legisla- 

 ture affecting the Park Department. 



Respectfully submitted, 



FRANK SQUIER, 



Commissioner. 



