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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368
368

GENERAL RATE ACCOUNT— STREET IMPROVEMENTS & PAVING WORKS.—25 th M arch , 1898.

To RECEIPTS- capital account.£s.d.By PAYMENTS- capital account.£s.d.
Mortgages. Loans to 25th March,189755,47000Expenditure out of Loans to 25th March, 189759,095174
Do. this year—
Do. borrowed this year—
York Flagging Works5,32300Nature of Work.Situation.Sum Paid.
Kerbing do.1,16400
£s.d.
Granite Paving6,55200
Masons' and Paviors' workBateman's Row4921
Wood do.3,50700Paving Footways and ChannellingBridport Place56053
Asphalte do.6,91400
Concrete Foundations5,04000Paving Footways & CarriagewaysCurtain Road2,510108
Contingencies1,00500Paving FootwaysEast Road289134
29,50500Paving Carriageways with Old CubesGreat Cambridge Street2,45000
84,97500
Wood PavingHigh Street2,36600
Less—Paid off to 25th March, 189742,73064Masons' & Paviors' WorkDo.652187
Do. this year2,62738Asphalting CarriagewaysHoxton Street979123
Granite PavingDo.354187
45,357100Laying CurbsLong Street52114
Revenue Account.39,617100Asphalting Footways and CarriagewaysDo.279185
Debt repaid to 25th March, 189742,73064Wood PavingWilson Street & Paul Street7300
Do. this year (fo. 319)2,62738Asphalting Footways and CarriagewaysMoye Street626118
45,357100
Paving do.Do.6149
Paid out of General Rate for Property and Permanent Works, to 25th March, 1898187111
Granite PavingScawfell Street15572
Re-Paving with old SettsShepherdess Walk1,25620
Paving Footways and Carriageways and redressing PitchingsTuilerie Street41823
Contributions and other Receipts.
Carriageway Paving at Wilson Street ex Vestry of parish of St. Luke (Middleses)55176738187
Granite PavingYork Street16468
Erecting Hoarding, &c.New Street (Moira Place Area)4708
13,34758
Law Charges on Loans14140
Stamp Duty do.3700
Advertising466
Lithography4120
Law Engrossing and Writing068
13,408410
72,50422
Expenditure out of Revenue to 25th March, 1898738187
73,24309
Cash Balances transferred to Revenue Account, to 25th March, 1891627144
BALANCE—25th March, 1898—
In hands of Treasurer (fo. 330)11,84336
£85,713187£85,713187

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