I? 
March i, 1874. 
Gross receipts : 
Income from dues, and capital re 
ceived from life memberships, 
Capital stock paid in, 
Interest, and discount returned, 
Donations, .... 
$6,799 20 
32,550 00 
91 70 
6,600 00 
$46,040 90 
Gross expenditures : 
Income expended, 
Capital expended, . 
By balance, cash in hand. 
$2,191 48 
32,918 30 
10,931 12 
$46,040 90 
Assets. 
March i, 1874. 
By balance of income, and capital received from 
life memberships, see page 9, . . . . $4,607 72 
By balance of capital, . . . . . . 6,323 40 
Stock subscriptions, due and unpaid, . . . 57,200 00 
By total balance in hand, and due the Society, $68,131 12 
Liabilities. 
Monkey house, balance due, $3,098 00 
Vulcanizing paving company, . . . . . 4,713 25 
Purchase of animals, letter of credit to Supt., . . 8,500 00 
Bear pits, contract price, 5,000 00 
Aviary " " .... 5,720 00 
Eagle aviary ' << .... 2,000 00 
Total, ... .... $29,031 25 
In addition to the cash balance on hand at the 
end of the fiscal year, and the amount due on 
stock at that date, there has since been taken 
$13? 500 stock, which, together with the balance 
2 
