Oct.  1895. 
Annual  Report  of  the  Director. 
25 
FINANCIAL  STATEMENT. 
Receipts  a.nd  Disbursements 
During-  Year  ending  September  30,  1895. 
Receipts. 
Cash  in  Treasurer's  hands,  Oct.  1,  1894,  $136,755.74 
Petty  Cash  on  hand,   978.20  $137,733-94 
Membership  Account: — 
Annual,   7,210.00 
Corporate,   210.00  7,420.00 
Chicago  City  Railroad  Co.,   2,250.00 
W.  G.  Hibbard,  special  Egyptology,   1,000.00 
Martin  A.  Ryerson,  special  department  of  Zoology,   .    .    .  600.00 
Alex.  H.  Revell,   450.20 
H.  N.  Higinbotham,  special  department  of  Industrial  Arts  253.08 
D.  G.  Hamilton,  special  Egyptology,   250.00 
D.  W.  Burrows,  special  Egyptology,   50.00 
13.  F.  Cummins  Co.,   20.00 
Divd.  W.  C.  Exp.  Stock:— 
H.P.Victor,                            .    .    .    .    .    .  1.00 
Josephine  M.  Gillette,  Executrix,   50.00 
J.  K.  George,  ........   2.00 
E.A.Simon,   1.00  54.00 
The  McCormick  Estate,   10,000.00 
H.  H.  Porter,   5,000.00 
Martin  A.  Ryerson,   5,000.00 
Geo.  M.  Pullman   100,000.00 
Mary  D.  Sturges,   50,000.00 
South  Park  Commissioners,   13,750.00 
Proceeds  of  sale  of  old  material,  boilers,  etc.,    1,341.94 
Refund  Uniforms  (Guards  and  Janitors),   241.65 
Admissions  to  Museum,      .    .    .   7,436.95 
Check  Rooms,                                                              .  1,952.55 
Guide   Account,    two  editions  net  profit  (1,700  of  3rd 
Edition  on  hand  Sept.  30,  1895  ),   116.74 
Interest  Account  : — 
On  $600,000  Temple  Bonds   30,000.00 
On  143  Shares  111.  Trust  and  Savings  Bank  .  1,501.50 
On  18  $500  Calumet  Club  Bonds   156.09 
On  Sundry  Mortgages   520.56 
Amount  allowed  by  Bank  on  Daily  Balances    .  1,231.24  33,409-39 
$378,33044 
