TABLE 3.-Miscellaneous receipts for other than printing and binding. Cash from sale of waste paper $233.01 Cash from sale of linen map paper, shipment of R. P. Andrews & Co., to be applied as storage. 250.00 Cash from sale of property condemned by committee.. 46.50 Total receipts... 529.51 Deposited with insular treasurer.. 529.51 TABLE 4.-Appropriations for salaries and wages, amount expended, and balance on hand, fiscal year 1903. TABLE NO. 5.-Disbursements by James G. Jester, United States disbursing officer, during the fiscal year ended June 30, 1903. Paper. $124.90 Plate-mortising machine.. 150,00 6.36 155.27 $64.00 Label holders 28.27 155.27 64.00 28.27 Copper and turpentine. 70.39 11.69 82.08 Duck, cotton 651.81 43.61 695. 42 TABLE NO. 5.-Disbursements by James G. Jester, United States disbursing officer, during the fiscal year ended June 30, 1903-Continued. Recapitulation of receipts and disbursements by J. G. Jester during the fiscal year 1903. Balance on hand July 1, 1902 RESOURCES. December 26, 1902, transferred by H. A. Lampman.. Received from British Foreign Insurance Co., loss on ship ment of envelopes by R. Carter Ballantyne.. To error on weekly statement June 1-6, 1903. TABLE NO. 6.—Sundry disbursements for the fiscal year 1903, made at Manila by H. A. Lampman. 1 new wheel Repairing delivery wagon.. Philippine Publishing Co.: Lithographing maps and curves for Weather Bureau.. 3,000 maps for Agricultural Department John T. Pickett: Repairing harness 5.00 192.00 75. 17 10. 20 20.41 70.96 80.00 7.00 Pedro P. Roxas: For rent of warehouse, eleven months.. 1, 319.97 Calder & Co.: Terminal charges on time-stamp clock, landing, and clearing. Act 437.-Laying out grounds. Department of engineering and public works: Improvement of the grounds of public printing plant.... 6.00 13. 44 19.44 1,370. 73 |