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 ACCOUNT— ERECTION OF DUST DESTRUCTOR.—25 th M arch , 1898.

To RECEIPTS-£s.d.By PAYMENTS—£s.d.
CAPITAL ACCOUNT.CAPITAL ACCOUNT.
MortgageExpenditure out of Loan to 25th March, 189111,885148
Loan to 25th March, 189814,24000
Do. do. this year.
Less Paid oft this year74900On account of contract for-
13.49100Furnaces, Hues, &c.1,84000
Iron work18000
Revenue AccountChimney Shaft249108
Debt repaid this year (fo. 323)74900Building63000
Fitting up Station17800
Balance - 25th March, 18983,077108
Due to Treasurer (fo. 330)902185Tilling Pump Room5328
Lockers15150
Dynamo Covers3182
Ampere Guages51411
Iron Water Trough8100
Wire Work and Gas Tubing3600
Wiring and Fitting Work29155
Hose and Fittings1053
Sundry Fittings876
Table and Chair1170
Clock2150
Advertising8122
1791313,25739
£15,142185£15,142185

SEWERS RATE ACCOUNT— CONSTRUCTION OF NEW SEWERS.— 25 TH M ARCH, 1898.

To Receipts-£s.d.By Payments£s.d.
CAPITAL ACCOUNT.CAPITAL ACCOUNT.
Mortages Loans to 25th March 189719,17500Expenditure out of Loans, to 25th March,189719,17500
Do. borrowed this year—Do Revenue to 25th March, 18976,648121025,8231210
Reconstructing Brick Sewers8,18500Do. this year—
Do. Pipe sewers7,76000On account of Sewer Extension Works—
15,94500
35,12000Anning street, New North Road, and Felton Street1,19556
Less—Paid off to 25th March, 18973,62900Fanshaw Street, Contract No. 1227200
Do. this year89900Haggerston District, Section No. 5375000
4,5280030,592005,21756
Revenue Account.Retention Money—
Debt repaid to 25th March, 18973,62900Clifton Street and Dysart Street26170
Do. this year (fo. 334)89900Curtain Road11112
4,52800388o
Paid out of General Rate for Property and Permanent Works, to 25th March, 18983,977410Advertising351310
Contributions and other Receipts.Lithography3786
Law Writing and Engrossing11210
Refund of sheriff's costs0136Stamps Duty on Loans2000
3,977184Law Charges do.14140
10992
39,0971845,36531
District.Source defrayed from.31,1881511
Out of Loans.Out of Rates and Revenue.Total.BALANCE—25th March, 1898—
£s.d.£s.d.£s.d.In hands of Treasurer7,90925
Hoxton5,560862,098827,658168
Haggerston18,9791474,5504823,529193
24,540316,648121031,1881511
£39,097184£39,097184