COST OF MAINTAINING PARKS IN 1909 
RECEIPTS 
Tax appropriation 83,900 00 
Transfer from Fleischmann Concert Fund (balance) 3 00 
Sale of material, rents and miscellaneous income 2,085 17 
Total Receipts for the Year 1909 $85,988 17 
EXPENDITURES 
Administration : 
Payrolls 7,369 21 
Office expense 237 90 
Printing and stationery 517 70 
Insm-ance 134 50 
Repairs 170 65 
Replenishing 99 56 
Incidentals 1,063 91 
Premiums on bonds 105 55 
Auto supplies and repaiis 1,-387 39 
Purchase of auto 2.000 00 
Furniture and fixtures 1,517 73 
' 14,604 10 
Eden Park: 
Payrolls 21.599 37 
Police 3,088 00 
Light 98 31 
Fuel 1,016 26 
Rent 22 83 
Roadway material and maintenance 1,011 11 
Sprinkling 346 80 
Repairs to property 456 47 
Replenishing 271 62 
Chemicals and fertilizers 93 15 
Repairs to vehicles, apparatus and equipment 377 70 
Concerts 1,000 00 
Feed 1,090 85 
Care of horse 8lio?:ii;i-. v?ter:n uy, etc 187 59 
Incidentals 138 40 
Plants, sodding, trees, shrubs and seed 491 81 
Concrete walls and walks, fences, drains and sewers 69 72 
Benches, furniture and fixtures 158 33 
Tools and implements- 115 08 
Horses 225 00 
Wagons and equipment 265 00 
Apparatus 228 43 
• 32,351 83 
Amount carried forward 
$46,955 93 
