Table: No. 3.SEW ERSACCOUNT.Revenue and Outlay from La,1870,to Lady-day,1871.
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No. 3.
SEW ERS ACCOUNT .
Revenue and Outlay from La, 1870, to Lady-day, 1871.
REVENUE. OUTLAY. £ s. £ s. d. To Cash of Overseers of Parishes in the District upon Orders of Contribution 1,580 0 Balance brought forward 122 2 5 Payment to Metropolitan Board amount of Precept on account of "Consolidated Rate" 5,614 17 0 „ Ditto of ditto to meet Precept of Metropolion Board, on account of "Consolidated Rate" 5,614 17 Ditto to ditto amount of Precept on account of payment of Mortgage Debts,&c. 215 2 5 „ Ditto of ditto to meet Precept of ditto, on account of payment of Mortgage Debts, &c. 215 2 Sewers Construction 91 14 6½ „ Ditto for Contributions to Sewers 84 7 Vestry of Mile End Old Town—proportion of cost of constructing Sewer in Portland Street 37 12 0 Balance 26 7 129 6 6½ Openings 11 4 1 Repairs 52 0 9½ Cleaning and Cleaning Cesspools 9 15 10 Incidental Works 39 3 3 „Carting Deposit 9 3 0 „ Flushing and Gullies 211 8 8 „ Common Charges and Sundries 713 12 11 „ Charges on Rates— Interest 126 3 9 Principal repaid 266 13 4 392 17 1 £7,520 14 0 £7,520 14 0
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We hereby certify that we have examined and allowed the Accounts, of which
Account is an abstract.
Dated this 19th day of July, 1871.
R. Jolly, Jun.,
N. Binns, Auditors.
Christopher Harston,