28 



Field Columbian Museum — Reports, Vol. II. 



Financial Statement. 



Receipts and Disbursements 

 During the Year ending September 30, 190 1. 



Receipts. 



Cash in Treasurer's hands, Sept. 30, 1900, $ 3,450.77 



Petty Cash on hand, Sept. 30, 1901, 739-95 



Dues of Members — 



Corporate, $ 200.00 



Annual, 2,930.00 3,130.00 



Admissions and Check Rooms, 6,113.25 



South Park Commissioners, . 15,000.00 



Chicago City Railway Company 2,250.00 



Sale of Guides, 375-50 



Sundry Receipts, 591-27 



Interest on Investments, 2,961.6 [ 



Stanley McCormick-Wattron Collection, 5,888.00 



H. N. Higinbotham-Schotel Collection, 250.00 



Department of Mines and Mining, World's Columbian 



Exposition, per F. J. V. Skiff, 187.17 



Sale of Securities, 125,000.00 



5^165,937.52 



Disbursements. 



Salaries, $ 50,245.46 



Guard Service, . 11,983.53 



Janitor Service, 8,142 05 



Fire Protection, 2,871.32 



Heat and Light — 



Wages, 3,161.61 



Fuel and Supplies, 4,824.50 



Additions to Plant, 194.36 8,180.47 



Repairs and Alterations- 

 Wages of Carpenters, Painters, Roofers, . . 12,365 87 

 Material used — Paints, Oils, Hardware, Glass, 



Lumber and Plaster, 3,978.49 16,344.36 



Carried forward, $ 97,767.19 



