66 
Annual Report 
$25,000 PARK IMPROVEMENT FUND 
RECEIPTS 
Balance on hand January 1, 190(> |3,050 30 
EXPENDITURES 
Repairs to all park buildings 467 OG 
Retaining- walls 20 00 
New boilers, park benches, and road materials 2,469 17 2 956 23 
Balance on hand December 31, 1906 91 07 
$3,050 30 
TYLER DAVIDSON FOUNTAIN FUND 
RECEIPTS 
Received from taxes $1,500 0 0 
EXPENDITURES 
Paj'rolls of fountain tenders 1,414 00 
Alms & Doepke Co., brushes, brooms, etc 5 13 
Douglas Plumbing and Heating Co., repairs to fountain 2 35 
German-Russell Co., repairing valve 5 95 
J. W. Rodgers, brooms, bucket, etc. (cash paid) 4 16 
A. Janszen & Co., mops 2 25 j ^g.^ 
Balance on hand December 31, 1906 66 16 
$1,500 00 
WASHINGTON PARK RESTORATION FUND 
(FAIvI< FESTIVAIv) 
RECEIPTS 
Received check from Cincinnati Fall Festival Association, pro-") 
ceeds of which are to be used in putting Washington Park > ^600 00 
in same condition it was in previous to the Fall Festival of 1906 J 
EXPENDITURES 
Payrolls from week ending Oct. 4 to week ending Nov. 8, 1906 . 
J. Chas. McCullough, grass-seed 
Peter Heckmann, sod 
Balance on hand December 31, 1906, to be expended later 
540 09 
22 00 
16 00 
578 09 
21 91 
$600 00 
