Jan., 1907. Annual Report of the Director. 



37 



FINANCIAL STATEMENT. 



RECEIPTS AND DISBURSEMENTS 

 From October 1, 1905, to December 31, 1906. 



Receipts. 



Cash in Treasurer's hands, September 30, 1905, . $ 9.936.75 



Petty Cash on hand, September 30, 1905, . . 739>95 

 Dues of Members — 



Corporate, $ 130. op 



Annual, 2,110.00 2,240.00 



Admissions and Check Rooms, 6,775.40 



Sale of Guides, 400.00 



South Park Commissioners, 18,750.00 



Interest on Investments, 67,364.90 



Interest on daily balances 267.27 



Huntington W. Jackson Library Fund, . . .• 60.00 

 Final Dividend on World's Columbian Exposition 



Stock, ... 233.43 



Sale of Securities, 55,000.00 



Donations 



Robert F. Cummings, 4,000.00 



Martin A. Ryerson, 1,500.00 



Stanley Field, ...... 4 ■ 250.00 



Watson F. Blair, 250.00 



E. E. Ayer, 250.00 



W. J. Chalmers, 250.00 



Cyrus H. McCormick, 250.00 



W. I. Buchanan, 25.35 



Department of Mines and Mining, World's 



Columbian Exposition, .... 50.00 



Sundry Receipts, 290.28 



Marshall Field Endowment and Building Fund, 1,100,000.00 



Field Endowment Income, Real Estate . . . 112,000.00 



Field Endowment Income, Bonds and Mortgages, 3.977-55 



$1,384,860.88 



