APPENDIX A. 
From ^[arch 1st, ISSS, to Ma:vh 1st, 1889. 
Dr. 
To Balance March 1st, 1888 $6,776 99 
" Sales of Animals 32 00 
" Collateral loan 15,000 00 
" ^rembers' fees and dues $2,265 00 
" Admission receipts :)1,661 29 
" Rents at Garden 600 00 
" Sundry receipts 616 39 
" Interest, discount, &c 1,496 26 
" Sale of Guide Books 169 95 
" Citizens' relief fund 1,040 00 
Transferred to credit of profit and loss 37,848 89 
$59.657 88 
Ce. 
By warrants paid for: — 
Salaries and wages $18,053 59 
. Office expenses 134 55 
Subsistence 6.865 80 
Advertising 2,687 56 
Insurance 340 25 
Fuel and lights 1,248 96 
Printing 313 18 
Expressage 155 20 
Repairs 1,967 06 
Extra labor and jobbing 1,354 39 
Hardware and tools 287 56 
Lumber 289 09 
Uniforms and equipments .... 220 25 
Water-rent 150 00 
Commissions on collections 311 32 
Alterations to Reptile house 5.409 11 
Sundries . 596 28 
Transferred to debit of profit and loss $40,384 15 
Purchase of animals $4,961 22 
Horticulture 100 37 
Investment account 5,100 00 
10.161 59 
Collateral loan 5,000 00 
Balance on hand March 1st, 1889 4,112 14 
$59,657 88 
AVILLIAM HACKER, Treasurer. 
Examined and found correct. 
Francis T. Fassitt, 
Francis W. Lewis, M. D,, 
Committee on Audit. 
(10) 
