20 
INCOME AND EXPENDITURES, 
For fiscal year ending March 1st, 1901. 
INCOME, 
3Iember9' fees and dues ^550 00 
Admission rei-eipts 2(5,096 64 
Donations 525 00 
Kents at Garden 250 00 
Interest, discount, &c 1,076 41 
Sundry receipts 1,455 32 
Sale of guide books 66 40 
Sales of animals 696 50 
Received from the city of Philadelphia through 
the Ck>mmissioner3 of Fairmount Park . . . . IT.^^^ 00 
$48,217 27 
EXPENDITURES. 
(Exclusive of Permanent Improvements, &c.) 
Salaries and wages $20,16-5 6-5 
OflB. e expenses 264 52 
General expenses 22,7«0 40 
Purchase of animals 3,U8S 10 
^6.27S 67 
Balance to credit of profit and loss 1.9S.S 60 
^8;>17 27 
CAPITAL. 
For fiscal year ending Mar^h 1st, 1901. 
RECEIPTS. 
Temporary loan ^5,5<X) 00 
Life memberships 50 00 
Received from the city of Philadelphia through 
the Commissionei's of Fairmount Park . , . . 2,500 00 
EXPENDITURES. 
Addition to Aviary . r),SsS 70 
Vulcanite walks . 2,474 11 
Inclosure at otter pond 241 SS 
Tern porarv loan 1.5<)'» 0<J 
$I0,IIM 60 
Balance (being exce^ of expenditures over re- 
ceipts of capital, and provided from profit and 
loss) 2.0.54 69 
$8,0.50 00 
$8,050 00 
HENRY T. COAXES, 
Examined and found correct. Treasurer. 
Christian C. Febiger, 
TH03IA5 BiDDLE. 
Committee on Audit. 
