APPENDIX A. 
From March 1st, 1887, to March 1st, 1888. 
Dr. 
To Balance March 1st, 1887 $12,411 34 
" Sales of animals 415 00 
Life memberships 150 00 
" Members' fees and dues $4,230 00 
" Admission receipts 37,533 96 
" Rents at Garden 1,200 00 
" Sundry receipts 631 23 
" Interest, discount, &c 790 81 
" Sale of Guide Books 259 35 
" Citizen's relief fund 1,085 00 
Transferred to credit of profit and loss 45,730 35 
$58,706 69 
Cr. 
By warrants paid for: 
Salaries and wages $17,358 79 
Office expenses 84 53 
Subsistence 6,375 53 
Advertising 2,231 54 
Insurance 209 70^ 
Fuel and lights . , 1,367 75 
Printing 422 20 
Expressage 147 85 
Repairs, &c 1,402 35 
Extra labor and jobbing 963 35 
Hardware and tools . 347 28 
Lumber 152 97 
Uniforms and equipments 223 75 
Water-rent 172 50 
Commissions on collections 942 52 
Sundries 561 27 
Transferred to debit of profit and loss $32,963 88 
Purchase of animals $3,654 20 
Horticulture 311 62 
3,965 82 
Collateral loan 15,000 00 
Balance on hand March 1st, 1888 6,776 99 
$58,706 69 
WILLIAM HACKER, Treasurer. 
Examined and found correct, 
F. T. Fassitt, 
Galloway C. Morris, 
Committee on A udit. 
(10) 
