23 
INCOME AND EXPENDITURES. 
For fiscal year ending March 1st, 1902. 
INCOME. 
Members' fees and dues 1985 
Admission receipts 25,617 
Donations 160 
Rents at Garden 250 
Interest, discount, &c 733 
Sundry receipts 1,573 
Sale of guide books 59 
Sales of animals 1,409 
Received from the city of Philadelphia through 
the Commissioners of Fairmount Park .... 17,500 
Salaries and wages . 
Office expenses . . 
General expenses . 
Purchase of aniuials 
EXPENDITURES. 
00 
38 
00 
00 
82 
66 
10 
75 
00 
— $48,288 71 
(Exclusive of Permanent Improvements, &c.) 
$20,508 17 
272 44 
21,207 28 
6,118 49 
$48,106 38 
182 33 
$48,288 71 
Balance to credit of profit and loss 
CAPITAL. 
For fiscal year ending March 1st, 1902. 
RECEIPTS. 
Life memberships $200 00 
Received from the city of Philadelphia through 
the Commissioners of Fairmount Park .... 2,500 00 
EXPENDITURES. 
New fox and wolf pens . $2,763 00 
Enclosure for buffalo 342 25 
$3,105 25 
Balance (being excess of expenditures over re- 
ceipts of capital, and provided from profit and 
loss) 405 25 
$2,700 00 
$2,700 00 
HENRY T. COATES, 
Examined and found correct. Treasurer. 
Christian C. Febiger, 
Thomas Biddle, 
Committee on Audit. 
