BROOKLYN PARK COMMISSIONERS. 



19 



FINANCIAL STATEMENT FOE THE YEAE 1880. 



MAINTENANCE OF PUBLIC PARKS. 



Unexpended balance of 1879 



Amount appropriated by Common Council 



Amount appropriated by direction of Legislature. 

 Amount derived from Park revenue. 



Items of Expense Certified to Auditor on above Account : 



Pay-rolls of laborers, mechanics, horses and carts . . . 

 Bills for supplies, feed, hardware, lumber, &c. . . . ... 



Bills for stationery, drawing-material, printing, &c... 



Insurance. '.'.' 



Music on Prospect Park 



Concrete pavement '.' 



Balance, January 1, 1881, 

 Total 



$7 14 



35,000 00 



20,000 00 



6,247 34 



$39,819 06 



15,836 72 



692 28 



157 20 



1,500 00 



3,237 42 



$61,254 48 



$61,242 68 

 11 80 



$61,254 48 



MAINTENANCE OF EASTERN PARKWAY. 





$6 00 

 2,000 00 





Amount appropriated by Common Council for the year 

 1880 







$2,006 00 





$1,629 32 

 375 50 



Hems of Expense < vilified to Auditor on above Account : 





For trees 





Balance, January 1, 1881 



$2,004 82 

 1 18 



Total 





$2,006 00 









MAINTENANCE OF OCEAN PARKWAY. 



Amount appropriated by Common Council for the year 

 1880 



$4 00 

 7,000 00 







$7,004 00 





$6,374 64 



140 00 



451 25 



36 07 



Items of Expense < 'ertified to Auditor on above Account : 



For pay-rolls of laborers and teams , .... 



Transportation 





Printing 









Balance, January 1, 1881 



$7,001 96 

 2 04 









Total 



$7,004 00 



