APPENDIX A. 
INCOME AND EXPENDITURES. 
For fiscal year ending March 1st, 1892. 
INCOME. 
Members' fees and dues $880 00 
Admission receipts 37,783 21 
Rents at Garden 2,000 00 
Sale of Guide-books 186 15 
Interest, discount, &c 1,656 01 
Sundry receipts 812 63 
EXPENDITURES. 
(Exclusive of Permanent Improvements, &c.) 
Salaries $18,510 96 
Office expenses ... 932 62 
General expenses 19,450 31 
$38,893 89 
Estimated loss and depreciation on animals . . 3,819 85 
Balance to credit of profit and loss for year . . . 604 26 
$43,318 00 
$43,318 00 
CAPITAL. 
Receipts and expenditures for the year ending March 1st, 1892. 
RECEIPTS. 
Sales of animals $394 50 
Received from the city of Philadelphia through 
the Commissioners of Fairmount Park 2,000 00 
Add the following amount charged to profit and 
loss for estimated loss by death and depreciation 
of animals 3,819 85 
$6,214 35 
EXPENDITURES. 
Purchase of animals $5,173 35 
Permanent enclosure 268 10 
Horticulture 62 50 
Pheasant house 2,000 00 
Balance (being excess of investments over receipts 
of capital and provided from profit and loss) . . 1,289 60 
$6,214 35 
WILLIAM HACKER, 
Treasurer 
Examined and found correct, 
Francis T. Fassitt, 
Charles W. Trotter, 
Committee on Audit. 
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