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

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Lambeth 1876

[Report of the Medical Officer of Health for Lambeth]

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48
49
ABSTRACT ACCOUNT PAVING LOAN.
In respect of the Year ending 25th March, 1877.
Receipts.
Expenditure.
Cash Account.
Cash Account.
Debts & Liabilities.
1877, March 25th,
£
s.
d.
£
s.
d
£
s.
d.
To Balance last Audit
9891
15
0
March 25th, 1877.
£9891
15
0
Tar raving, York Flagging,
Kerbing, &c.
7866
14
JETTY AND WHARF
Balance
2025
0
3
£9891
15
0
LOAN ACCOUNT.
£
s.
d.
£
s.
d.
Cash Account.
Monies owing
to the Vestry.
March 25th, 1877.
£.
S.
d.
£
s.
d.
Building Wharf & Jetty
536
14
5
1876
Plant, &c.
71
3
1
Loan of Metropolitan Board
3000
0
0
Expenses of Mortgage Deed
11
2
0
Balance
2381
0
6
£3000
0
0
£3000
0
0
ABSTRACT ACCOUNT OF SEWERS.
In respect of the year Ending 25th March, 1876.
£
s.
d.
£
s.
d.
March 25th 1876.
Balance brought on from last
Audit
1114
6
10
1 Qrs. Sewers Work, General
Contract
1210
19
11
Surveyor's Salary
106
5
0
Income Tax
23
12
9
Sanitary Expenses
34
17
3
Water for Urinals
2
10
0
Sundries
34
15
6
Balance carried oil
£12527
7
3
£2527
7
3
E