TREASURER'S REPORT. 
Income and Expenditures. 
For the fiscal year ending February 28th, 1918. 
INCOME. 
Admission receipts $46,871.20 
Rents at Garden 250.00 
Interest 3,039.22 
Sale of animals 279.00 
Sale of guides 89.70 
Donkey rides 975.85 
Sundry receipts 2,513.20 
Received from the City of Philadelphia through 
the Commissioners of Fairmount Park 50,000.00 
Total income $104,018.17 
EXPENDITURES. 
Salaries $30,928.79 
Office expenses 624.53 
General expenses 52,729.75 
Purchase of animals 5,893.60 
Permanent improvements 11,097.46 
Repayment of Loan from Emergency 
Fund 3,000.00 
Total expenditures $104,274.13 
Excess of expenditures over income 255.96 
$104,018.17 
C. S. W. PACKARD, 
Treasurer. 
Audited and found correct, April 2d, 1918. 
Stockton Bates & Sons. 
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