66 
Annual Report 
PARK EXTENSION FUND 
Balance remaining January 1, 1909 $103,758 10 
EXPENDITURES 
Sinton Park: 
Payrolls 8.586 90 
Shelter-house 24.893 80 
Wall, walks and fence 2.126 9.3 
Playground apparatus 1,887 66 
52,495 29 
Burnet Avenue and Reading Road: 
Transferring property on tax duplicat'^ 55 67 
Refunding taxes 87 53 
Sheriff's deed and recording deed 5 30 
Taxes 9 70 
■ 158 20 
Hunt-street Athletic Grounds: 
Payrolls 3,108 33 
Expert services, appraising property 25 00 
Sewer brick and cement 13 25 
3,146 58 
Ludlow-avenue Triangle: 
Payrolls , 1,924 32 
Grass seed 6 00 
1.930 32 
Mt. Echo Park: 
Payrolls 3,605 01 
Land, taxes, expert services and examination of titl > 01.151 40 
Tools, broom, vise, rope, etc 42 45 
Benche.; 82 50 
Ladder 7 20 
Two two-wheel scraper- 76 00 
Drain pipe 30 00 
Paint 4 00 
— 64.998 56 
Balance on hand December 31, 9109 1.029 15 
Total $103,758 10 
