no Field Columbian Museum — Reports, Vol. II. 



Financial Statement. 



Receipts and Disbursements 

 During the Year Ending September 30, 1902. 



Receipts. 



Cash in Treasurer's hands, Sept. 30, 1901, ..... $ 4,652.19 



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



Dues of Members — 



Corporate, $ 135.00 



Annual, 2,800 00 2,935.00 



Admissions and Check Rooms, 6,858.90 



South Park Commissioners, 15,000.00 



Chicago City Railway Company, 2,250.00 



Sale of Gui(^es, 333-50 



Sundry Receipts, 713-47 



Interest on Investments, 18,979.90 



Huntington W. Jackson Estate 971.50 



W. J. Chalmers, Special, 40.00' 



Walker & Payne, 100.00 



Watson F. Blair, . . .1 C 300.00 



M. A. Ryerson, . . .1 Pawnee I . . . ... 300.00 



Edward E. Ayer, . . .( Expedition, 1 100.00 



Cyrus H. McCormick, . -» L 300.00 



Sale of Securities 141,441.67 



$196,016.08 



Disbursements. 



Salaries, . . . $ 56,689.65 



Guard Service, ^ 11,857.37 



Janitor Service, 6,929.16 



Fire Protection, 2,827.50 



Heat and Light — 



Wages, $ 3,254.92 



Fuel and Supplies, 5,418.47 



Additions to Plant, 1,594.54 $10,267.93 



Carried forward, $88,571.61 



