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St Giles (Camden) 1896

Annual report for the year ending 25th March 1897

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0
d.
10
Accounts.
The accounts of the Board for the past year have been
prepared in the same form as heretofore, and after being
examined by the Board's Chartered Accountant, have been
investigated by the elected Auditors, whose certificate of
the result of their examination will be found appended at
the foot of the accounts on page 45.
The comparative statement of Income and Expenditure
which has been published during the last few years has
been again prepared, and is as follows :—

COMPARATIVE STATEMENT OF INCOME AND EXPENDITURE

For the years ending25th March,1896,and 25thMarch, 1897.

INCOME.Year ending 25th March, 1896.Year ending 25th March, 1897.
From Rates :£s.d.£s.d.
General Kate53,72713559,1241110
Sewer Rate6,400005,05000
Foundling Estate Rate (amount for two years in 1896)539136269169
Brunswick Square Garden Rate (ditto) Total Receipts from Bates72003600
60,73961164,48087
Miscellaneoos Receipts :
For restoration of Pavings & Fines and Expenses recovered2,6851352,41236
For House Drain Connections with Sewers47339403167
Shaftesbury Avenue Lavatory receipts387189354129
New Oxford Street Lavatory receipts (six months only in 1896)494121,281135
Loan on account of New Oxford Street Lavatory construction2,00000_
Contribution, &c. to ditto61682
High Holborn Lavatory — contribution, &c., to cost of construction218150
Total Cash Receipts67,39612269,151910
Cash Balance brought forward at the commencement of the year5,433753,81362
72,82919772,964160

9
Brunswick Square Garden Rate (ditto)
Total Receipts from Bates
72
0
0
36
0
0
60,739
6
11
64,480
8
7
Miscellaneoos Receipts :
For restoration of Pavings & Fines and Expenses
recovered
2,685
13
5
2,412
3
6
For House Drain Connections with Sewers
473
3
9
403
16
7
Shaftesbury Avenue Lavatory receipts
387
18
9
354
12
9
New Oxford Street Lavatory receipts (six months
only in 1896)
494
1
2
1,281
13
5
Loan on account of New Oxford Street Lavatory
construction
2,000
0
0
_
Contribution, &c. to ditto
616
8
2

High Holborn Lavatory — contribution, &c., to
cost of construction
218
15
0
Total Cash Receipts
67,396
12
2
69,151
9
10
Cash Balance brought forward at the commencement
of the year
5,433
7
5
3,813
6
2
72,829
19
7
72,964
16
0