APPENDIX A. 
TREASURER^fe STATEMENT. 
March 1st, 1875, to March 1st, 1876. 
Dr. 
To Balance on hand March 1st, 1875, 
" Loan Subscriptions paid, ...... 
" Donation, ......... 
" Life Memberships, 
" Time Warrants (Balance March 1st, 1876), . 
Temporary Loan, ....... 
" Members' Initiation fees and annual dues, $ 2,890 00 
" Admission Receipts, . . . 87,984 11 
" Tickets sold but not received . . 4 57 
87,988 68 
" Rents at Garden, .... . 2,421 67 
" Profit on Sale of Guides, 304 63 
" Sundries, 515 05 
Transferred to Cr. of Profit and Loss acct., 94,120 03 94,120 03 
$253,130 05 
Cr. 
By Warrants paid, for : 
Salaries, 
21,183 
19 
Subsistence, 
10,335 
49 
Advertising, 
4,007 
50 
Music, 
3,521 
00 
Insurance (to run several years), 
1,623 
79 
Fuel,_ 
1,277 
01 
Printing, ...... 
515 
75 
Expressage, ...... 
400 
65 
Telegraph Line, ... . . 
356 
43 
Repairs, Jobbing, &c., .... 
1,062 
69 
Office Expenses, ...... 
1,497 
45 
Permanent Improvement, Sundries, 
3,129 
66 
Maintenance, &c., transferred to Dr. of Profit & 
Loss acct., 48,910 61 
$ 2,458 44 
125,286 00 
785 48 
1,965 00 
13,515 10 
15,000 00 
