14 
INCOME AND EXPENDITURES. 
For fiscal year ending February 28th, 1907. 
INCOME. 
Members' fees and dues $950 00 
Admission receipts 31,551 70 
Rents at Gardens 250 00 
Interest 1,266 88 
Sale of animals 300 00 
Sale of guide books 410 55 
Goat and donkey rides 1,297 40 
Sundry receipts 1,503 51 
Return of insurance premiums 1,168 41 
Received from the City of Philadelphia through the 
Commissioners of Fairmount Park 17,500 00 
$56,198 45 
EXPENDITURES. 
(Exclusive of Permanent Improvements, &c.) 
Salaries and wages $22,752 43 
Office expenses 548 87 
General expenses 29,040 63 
Purchase of animals 6,836 40 
$59,178 33 
Balance to debit of profit and loss 2,979 88 
$56,198 45 
CAPITAL. 
For fiscal year ending February 28th, 1907. 
RECEIPTS. 
Life membership $50 00 
Donation for woodchuck cage 177 25 
Received from the City of Philadelphia through the 
Commissioners of Fairmount Park 10,000 00 
$10,227 25 
EXPENDITURES. 
Woodchuck cage $177 25 
Enclosures for aquatic birds 3,012 65 
Prairie dog village 290 58 
Seal pond fence 474 90 
Asphalt walks 2,261 72 
Belgian block paving, &c 1,388 02 
Deer fences and shelters 2,572 13 
$10,177 25 
Balance, being excess of receipts over expenditures 
of capital 50 00 
$10,227 25 
HENRY T. COATES, 
Treasurer. 
Examined and found correct, March 30th, 1907. 
Stockton Bates, 
C. P. A. for Stockton Bates & Son. 
