Hints from the Health Department. Leaflet from the archive of the Society of Medical Officers of Health. Credit: Wellcome Collection, London
[Report of the Medical Officer of Health for Lewisham]
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1873—74.
The Board of Work for the
fewisham District
STATEMENT
OF
RECEIPTS AND EXPENDITURE
DURING
The Year ended 25th March, 1874,
AND OF
ASSETS AND LIABILITIES
ON
The 25th March, 1874
APPENDIX.
Totals. | ||||
---|---|---|---|---|
LEWISHAM. | 1872-3 | 1873-4 | 1872-3, | 1873-4 |
Gerneral Purposes. | £ | £ | £ | £ |
Highways | 6413 | 8408 | ||
New Streets | 2099 | 2412 | ||
London School Board | 1166 | 853 | ||
Establishment Expenses (apportionment) | 792 | 869 | ||
Other Expenses | 421 | 83 | ||
General Purposes (159 Sect. Met. Man. Act.)— | 1072 | 1017 | ||
Highways | 2034 | 2307 | ||
Watering | 271 | 1770 | ||
Road Improvements | 922 | 925 | ||
During | 686 | 1431 | ||
Loans and Interest | 44 | - | ||
other Expence | 2547 | 4402 | ||
Paving (Loan) | 3988 | 4206 | ||
Sewerage Purposes— | ||||
Repairs and Cleansing | 293 | 306 | ||
Private Sewers (including Frontage Drains) | 242 | 298 | ||
Establishment Expenses (apportionment) | 792 | 869 | ||
Loans and Interest | 1697 | 1648 | ||
Other Expenses | 93 | 16 | ||
Sewers Construction | 3442 | 686 | ||
Former Greenwich Seperate Sewerage District | 160 | 164 | ||
Do. Ravensbourne do. | 175 | 873 | ||
Metropolitan Consolidated Rate | 2894 | 2963 | ||
PENGE. | 32243 | 36496 | ||
General Purposes— | ||||
Highways | 1352 | 1802 | ||
Do. Tar paving | 601 | 397 | ||
New Streets | 930 | 1833 | ||
London School Board | 539 | 392 | ||
Watering | 651 | 674 | ||
Dust Collecting | 184 | 167 | ||
Loans and Interest | 250 | 353 | ||
Establishment Expenses (apportionment) | 381 | 400 | ||
Other Expenses | 464 | 199 | ||
Paving | 1187 | 1474 | ||
Lighting | 1146 | 1187 | ||
Sewerage Purposes— | ||||
Repairs and Cleansing | 129 | 395 | ||
Private Sewers | 83 | 50 | ||
Establishment Expenses (apportionment) | 381 | 400 | ||
Loans and Interest | 984 | 966 | ||
Other Expenses | 19 | - | ||
Metropolitan Consolidated Rate | 1389 | 1347 | ||
Suspense Accounts— | ||||
Beckenham Sewerage Bill | - | 878 | ||
Penge and Bell Green Sewer | - | 1968 | ||
Penge Surface Drainage | - | si fi | ||
New Offices | - | 1079 | ||
10570 | 16277 | |||
Total Expenditure | 42813 | 52773 | ||
Cash Balance at the end of each year | 5857 | 1073 | ||
Total | 48670 | 53846 |