APPENDIX A. 
TREASURER'S STATEMENT. 
March 1st, 1878, to March Ist, 1879. 
Dr. 
To Balance March 1st, 1878, 
" Temporary loans, 
" Donations, 
" Sale of animals, . 
" Members' fees and dues, 
" Admission receipts, 
" Rents at Garden, 
" Profit on sale of Guides, 
" Sundries, 
Transferred to credit of profit and loss, 
$780 00 
50,410 54 
2,000 00 
93 48 
1,117 29 
$1,376 06 
9,000 00 
1,630 60 
146 70 
54,401 31 
;,554 67 
Cr. 
By Warrants paid for : — 
Salaries, . . . , 
Office expenses, . 
Subsistence, 
Advertising, 
Fuel and light, 
Printing, 
Expressage, 
Repairs, 
Extra labor and jobbing. 
Hardware and tools, . 
Lumber, . . . , 
Water rent. 
Removing trees. 
Uniforms, &c.. 
Insurance, 
Interest, discount, &c.. 
Sundry expenses. 
$16,720 90 
481 52 
8,937 90 
1,744 40 
1,236 50 
295 75 
138 95 
1,045 35 
1,240 75 
186 98 
280 85 
1,050 00 
987 37 
116 00 
397 80 
1,531 37 
808 02 
Maintenance, &c., transferred to debit of profit 
and loss, ...... 
$37,200 41 
Amount carried forward, $37,200 41 
(11)" 
