2oo  Field  Columbian  Museum— Reports,  Vol.  r. 
Financial  Statement. 
Receipts  and  Disbursements 
During  the  Year  Ending  September  30,  1897. 
Receipts. 
Cash  in  Treasurer's  hands,  Sept.  30,  1896   $  1,036.50 
Petty  cash  on  hand,  Sept.  30,  1896   739-95 
Dues  of  Members — 
Corporate    $  290.00 
Annual,   5,110.00  5,400.00 
South  Park  Commissioners,      ..."   15,000.00 
A.  C.  Bartlett  (acct.  McCormick  Fund),   5,000.00 
Sale  of  sundry  articles   289.63 
Interest  on  investments,   39,346.78 
Chicago  City  R.  R.  Co.,   2,250.00 
Interest  on  Bank  Balances,   138.14 
Admissions,    5,016.15 
Check  Rooms,   1,110.15 
Sale  of  Guides,   429.25 
Sale  of  Securities,   35,000.00 
$110,756.55 
Disbursements. 
Salaries,    $43,384.28 
Guard  Service,   11,424.58 
Janitor  Service,   7,089.32 
Fire  Protection — 
Additions  to  equipment,   $  781.25 
Wages  of  Firemen,   2,760.00 
Uniforms  and  Sundries,    .   74-09  3,615.34 
Heat  and  Light — 
Additions  to  plant,   323.74 
Wages  of  Engineer  and  Assistants,   .    .    .  2,981.44 
Fuel,   3.753-3S 
Supplies  .    .    .  730.28  7,788.84 
Carried  forward, 
$73,302.36 
