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

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St Giles (Camden) 1893

Annual report for the year ending 25th March 1894

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SUMMARY showing the TOTAL RECEIPTS and PAYMENTS of the BOARD for the year ending March 25, 1894—continued.

£s.d.£8.d£8.d.£s•d.
Amount brought forward 60,400167Amount brought forward 58,739116
Sewers Rate Account
Sewers Rate Account Materials and Wages of Repairs 2,79660
The joint vestry, under precept6,45000New Sewers, under Contracts4,47575
Connection with Sewers and Lavatory Receipts49440Shaftesbury Avenue Lavatories 646159
6,94440Transfer to General Account for Management Expenses60000
67,345078,51892
67,25808
Total Receipts :
Actual Cash Receipts 66,74507Total Payments:
Transfers60000Actual Cash Payments 66,65808
Transfers 60000
£67,34507
£67,258 08
Balance at Bankers, 25th March, 1893, brought forward:Balance at Bankers, 25th March, 1894:
On General Account1,436176On General Account 3,124171
„ Foundling Estate Account1923 5„ Foundling Estate Account201811
1,6290 113,32660
Less—Overdrawn;
Less—Overdrawn:Sewer Account 2,255100
Sewer Account681410„ Brunswick Square Account 36 0 03600
9471612,291100
1,034160
£68,292168£68,292168