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

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Shoreditch 1897

[Report of the Medical Officer of Health for Shoreditch, Parish of St. Leonard]

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GENERAL RATE ACCOUNTS (Continued ), from 25th March, 1897, to 25 th March, 1898.

To RECEIPTS—£s.d.By PAYMENTS—£s.d.
Amount brought forward£84,498142Amount brought forward£75,97313
Lighting Committee's Accounts.Lighting Committee's Accounts.
electricity works, deficit account.
Cash deficits charged upon this year's Rates, as under:—
Year ended 25th March. 1896 (fo. 351)38299
do. 25th March. 1897 (fo. 351)872185
1,25582
lighting department.lighting department.
Public Street Lamps.
Gas supply, Lighting, and Maintenance of Private Lamps4489
Quarter ended.GasElectricity.Total.
Damage to Public Lamps0176Are Lamps.Incandescent Lamps.
Sale of—
Old Lamp Columns10025th March, 18971,40090............1,40090
Do. Metal11024th June, 1897782710............782710
Do. Copper169L 529th Sept., 189782618325310657001,13789
37925th Dec., 18971,3131415571081501262,021173
481404,3239281122071265,342210
1
Salary of Engineer22803
Wages1,123110
Do. Repairs25199
1,37509
Sugg's Lamp Governors and Repairs8120
Burners, Brackets and Fittings3396
Lamp Fittings, Governors and Cocks109149
Opal Shades and Iron Frames105118
Tools and Ironmongery18199
Painting Lamp Columns and Brackets2678
Altering and removing Lamp services2656
Mason's and Pavior's Work (fo. 317)39170
Diverting Water Mains12109
Rubber Goods21510
Glass, Oil. Paint, Putty and Driers61115
Adjusting water line of Meters3150
Ladders, Hire of Trestles and Repairs810
Funeral expenses of workman10106
Gratuity to mother of workman (on account)18100
Tramway Ticket110
Disbursement406
2,0941537,436181
48140
(Balance—£7,388 4s. 1d.)
Amount carried forward£84,54782Amount carried forward£84,6651910½