Table: GENERALRATESACCOUNT.Revenueand Outlay from??? 1803,to Lady-day,1864.
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GENERAL RATES ACCOUNT.
Revenue and Outlay from ??? 1 803, to Lady-day, 1864 .
OUTLAY. REVENUE. £ s. £ s. d. By Paving 4,817 ??? Balance brought forward 756 14 3 „ Lighting 3,044 ??? Cash received of Overseers of Parishes in the District upon Orders of Contribution 14,450 0 0 „ Cleansing and Watering 2,436 ??? „ Stone and Materials 571 14 Ditto for Reinstatement of Pavement, &c. 1,914 8 6 „ Urinals 40 ??? Ditto Rents, &c. 183 1 11 „ Charges:— Ditto Interest on Deposit Account 52 8 7 Interest £1,071 1 7 Ditto from Paving Loan Account 1,000 0 0 Principal repaid 1,019 13 0 Ditto of Mr. Hubbuck, balance of Purchase Money and Interest of Ground, Red Lion Street 112 6 0 2,090 ??? „ Improvement Account 759 ??? Ditto of Inland Revenue, Amount paid in excess for Redemption of Land-tax on Ground, corner of Church Street, Wapping 7 10 2 „ Common Charges and Sundries 1,733 7 „ Compensations 216 3 „ Parliamentary Proceedings 22 10 Ditto of Churchwardens and Overseers of Wapping, Purchase-money for Ground at corner of Church Street „ Rent 9 0 £400 0 0 £15,741 5 Ditto da Amount mid to redeem Land-tax 22 10 6 Balance 3,160 11 422 10 6 £18,901 16 Ditto of Mr. H. Johnston for old Building Materials 2 17 0 £18,901 16 11 LOAN ACO???VING. By New Work 1,000 0 ???Balance brought forward 1,620 0 0 Balance 620 0 £1,620 0 0 £1,620 0
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hereby certify that we have examined and allowed the Accounts of which
this Account is an abstract.
??? this 27th day of July, 1864.
Richard Jolly, Jun.,
Walter R Kinipple,
G. L. Muspoth,
Auditors.