APPENDIX A. 
From March 1st, 1882, to March 1st, 1883. 
De. 
To Balance, March 1st, 1882, $6,538 34 
" Sales of animals, 135 00 
" Members' fees and dues, $635 00 
" Admission receipts, 46,758 32 
" Rents at Garden, 1,600 00 
" Interest on bank account, 917 
" Sundry receipts, 951 86 
" Sale of Guides, 208 50 
Transferred to credit of profit and loss, 50,162 85 
$56,836 19 
Cr. 
By warrants paid for — 
Salaries and wages, $18,681 26 
Office expenses, 335 73 
Subsistence, 9,611 24 
Advertising, 2,035 95 
Insurance, . 1,193 17 
Fuel and lights, 1,795 70 
Printing, 361 20 
Expressage, 57 32 
Repairs, 2,900 49 
Extra labor and jobbing, 1,009 79 
Hardware and tools, 346 05 
Lumber, 426 55 
Water rent, 1,000 00 
Uniforms and equipment, 132 00 
Damages and legal costs, 1,669 32 
Music, 525 00 
Sundry expenses, 633 75 
Transferred to debit of profit and loss, $42,714 52 
Amount carried forward, $42,714 52 
(11) 
