456 
Field  Columbian  Museum — Reports,  Vol.  i. 
Financial  Statement. 
RECEIPTS  AND  DISBURSEMENTS 
During  Year  Ending  September  30,  1900. 
Receipts. 
Cash  in  Treasurer's  hands,  Sept.  30,  1899,   •  $  1,068.14 
Petty  Cash  on  hand,  Sept.  30,  1899,   739-95 
Dues  of  Members — 
Corporate,   $  180.00 
Annual  Members,   3,340.00  3,520.00 
South  Park  Commissioners,   15,000.00 
Interest  on  Investments,   8,034.43 
Sundry  Receipts,   1,694.40 
Admission  and  Check  Rooms,   8,192.25 
Sale  of  Guides,    .    290-75 
Cyrus  H.  McCormick — Caldera  Collection,      ....  250.00 
Martin  A.  Ryerson — Thiessing  Collection,   873.79 
William  J.  Chalmers — Crystal  Collection,   389.00 
Sale  of  Securities,   85,000.00 
$125,052.71 
Disbursements. 
Salaries,   $45)677.70 
Guard  Service,   11,910.75 
Janitor  Service,   6,905.23 
Fire  Protection   2,817.47 
Heat  and  Light — 
Wages,   $3,217. 12 
Fuel  and  Supplies,    .   4,338.88 
Additions  to  Plant,                          .    .    .  355-77  7,911.77 
Repairs  and  Alterations — 
Wages  of  Carpenters,  Painters  and  Roofers,  9,429.85 
Material    Used — Paints,    Oils,  Hardware, 
Glass,  Lumber  and  Plaster,   1,971.87  11,401.72 
Carried  forward y   $86,624 . 74 
