London's Pulse: Medical Officer of Health reports 1848-1972

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St Giles (Camden) 1896

Annual report for the year ending 25th March 1897

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Comparative Statement of Income and Expenditure—continued.

EXPENDITURE.Year ending 25th March, 1896.Year ending 26th March, 1897.
Expenditure of this Board :£s.d.£s.d.
Salaries and Superannuation Allowance3,6991283,9441410
Paving (inoluding restoration of disturbed paving)13,55015713,712153
Cleansing7,727667,494102
Dusting Lighting3,663 4,8246 190 03,661 4,49710 5O 8
Watering1,3141721,324105
Stone Yard and Premises (including Mortuary and Coroner's Court)849177508149
Miscellaneous Expenses893411965196
Legal and Parliamentary14278374o
Loans—Repayments and Interest (on General Account)361183353184
St. Giles Churchyard148179155196
Sewer Account, Wages and Materials for Repairs (including Cost of House Drain Connections)2,752912,20571
New Sewers2,701791,70384
Shaftesbury Avenue Lavatory—Supplies, Maintenance, and Loan Repayment703179599159
New Oxford Street Lavatory—Supplies, Maintenance and Loan Repayment (six months only 1896)28086679146
Ditto—Construction and Enlargement Account3,024771,095197
High Holborn—Construction Account50000
Total Expenditure of the Board46,63913943,44178
Expenditure over which this Board has no Control:
School Board for London20,18311021,781174
Commissioners of Public Libraries and Museums1,8971121,7891411
Foundling Estate Bond Interest2606826c68
Brunswick Square Garden Committee36003600
Total Cash Payments69,01613567,30967
Cash Balance carried forward at end of the year3,813625,65595
72,82919772,964160

A statement of loans outstanding will be found on
page 44.
St. Giles Public Library.
The proceedings of the Commissioners, who are a body
corporate and elected under the Pubic Libraries Act, 1892,