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APPENDIX A. 
From March 1st, 1884, to March 1st, 1885. 
To Balance, March 1st, 1884, $4,238 07 
" Sales of animals, 129 25 
" Members' fees and dues, $550 00 
" Admission receipts, 34.861 34 
" Rents at Garden, 1,600 00 
" Sale of Guide books, 215 55 
" Sundry receipts, 674 42 
Transferred to credit of profit and loss, 37,901 31 
$42,268 63 
Cr. 
Bv warrants paid for — 
^ Salaries and wages, $18,909 22 
Office expenses, 176 82 
Subsistence, 8,299 66 
Advertising, 1,967 93 
Insurance, 269 20 
Fuel and lights, 1,370 50 
Printing, 298 50 
Freight and expressage, 181 45 
Repairs, 1,334 90 
Extra labor and jobbing, 1,023 65 
Hardware and tools, 307 17 
Lumber, 190 90 
Water rent, 1,000 00 
Uniforms and equipments, 295 25 
Interest and discount, 17 25 
Sundry expenses, 513 73 
Transferred to debit of profit and loss, $36,156 13 
Purchase of animals, $5,244 21 
Horticulture, 219 87 
Total permanent improvement and animals, 5,464 08 
Balance on hand, March 1st, 1885, 648 42 
$42,268 63 
WILLIAM HACKER, Treasurer. 
Examined and found correct. 
COMMITTEE ON AUDIT, 
F, T. Fassitt, Chairman. 
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