Table: No.2.GENERALPURPOSESACCOUNT.Revenue and Outlay fromLa, 1870, to Lady-day,1871.
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No. 2.
GENERAL PURPOSES ACCOUNT.
Revenue and Outlay from La, 1870, to Lady-day, 1871.
REVENUE. OUTLAY. £ s. d. £ s. d. Balance brought forward 4,898 18 By Paving 2,976 13 8 To Cash received of Overseers of Parishes in the District upon Orders of Contribution 12,800 0 „ Lighting 3,329 17 11 „ Cleansing and Watering 3,381 0 5 „ Ditto for Reinstatements of Paving and Contributions 590 17 „ Stone and Materials 313 2 6 „ Ditto Rents, &c. 79 2 „ Urinals 45 8 7 Balance 3,083 14 Charges on Rates— Interest 1,069 13 0 Principal repaid 1,630 0 0 2,699 13 0 Improvements— Limehouse 2,320 14 9 Shadwell 150 3 0 Wapping 4,841 5 5 7,312 3 2 „ Common Charges and Sundries 1,156 4 8 „ Condensations 136 16 2 „ Rent-Shadwell Stone Yard 12 0 0 London School Board Election Expenses 89 12 8 £21,452 12 9 £21,452 12
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We hereby certify that we have examined and allowed the Accounts, of which this
Account is an abstract.
Dated this 19th day of July, 1871.
R. Jolly, Jun.,
N. Binns, Auditors.
Christopher Harston,