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

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St George (Southwark) 1895

[Report of the Medical Officer of Health for Southwark, The Vestry of the Parish of St. George the Martyr]

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88
89
Account of the Income, Expenditure and Liabilities of the School Board for London.
For the Half Year ending 25th March, 1895.
Dr RECEIPTS.
EXPENDITURE.
To Balance on 29th September 1894
260956
2
2
A.—Expenditure, Other than out of Loans:—
A. Receipts other than from Loans:—
By Salaries of Officers of the Board:—
Annual Grant from the Education Department
179153
15
1
Officers of the Staff
10608
9
3
Annual Grant from the Science and Art Dept.
13174
13
9
Officers for enforcing Compulsory Bye-Laws
20600
10
0
Fee Grant from the Education Dept., under the
Elementary Education Act, 1891
95352
6
2
31208
19
3
Legal Expenses
2124
7
0
Other Expenses of Administration:—
In respect of Industrial Schools :—
Head Office.
Enforcing compulsory
Bye-Laws.
Parliamentary Grants
2668
16
7
Printing, Postage, Advertising,
and Office Charges
5209
7
10
1145
3
8
Science and Art (Brentwood)
31
8
9
2700
5
4
Rents, Rotes, Taxes, & Insurance
1111
15
6
176
7
8
From Endowments
45
0
0
Fuel, Light and Water
447
8
4
73
18
0
From School Fees
4308
13
8
Wages of Caretakers & Cleaners
804
6
0
147
17
9
From the Rating Authorities, being equivalent to a
rate of 5.29d. per pound on £33913707, the
Rateable Value of the District according to the
Valuation List in force during the year
747670
3
9
Repairs to Buildings & Furniture
4433
16
0
97
2
5
12006
13
8
1640
9
6
13647
3
2
15771
10
2
Other Receipts.-
46980
9
5
Scholarships and Prizes
764
3
7
Salaries of Teachers
568410
6
7
Rents of Sundry Property
378
14
2
Books, Apparatus and Stationery
30219
14
11
Insurance Fund
479
0
7
Less received for Sale of Needlework
2838
7
4
Interest on Money invested
149
13
1
27381
7
7
Boarding out children
53
4
6
Fuel, Light and Water
19859
12
4
1824
15
11
Wages of Schoolkeepers and Cleaners
28890
8
10
48750
1
2
Repairs to Buildings & Furniture
43637
10
11
Total Receipts other than from Loans
1044229
13
8
Rents, Rates, Taxes and Insurance
44794
7
9
B. Receipts from Loans:—
Less received for Hire of Schools
1306
18
5
Loans received during the period to which this Statement relates:—
43487
9
4
Loan No. XC.
200000
0
0
Other Expenses of Maintenance, viz:—
„ XCI
150000
0
0
Salaries of Inspectors, Singing, Drill, and other Instructors
11871
18
4
350000
0
0
Printing and Sundry Expenses
3552
0
10
Total Receipts
1394229
13
8
Pupil Teachers' Schools
748
4
11
Cookery Centres and Laundry Classes
8961
11
2
Total Receipts and Balance
£1655185
15
10
Manual Training and Laundry Classes
7128
14
2
Blind Classes
841
3
8
Deaf Centres
2859
17
7
45011
14
2
776578
18
9
Expenses of Industrial Schools under the management of School Board
11862
7
11
Contributions to other Industrial Schools
8977
6
1
Enlargement of Industrial Schools
250
0
0
Other Expenses:—
Salaries of Officers and of Industrial Schools Department
1331
7
2
Advertising, Travelling, and other Expenses
227
2
2
22648
3
4
Carried forward
£1655185
15
10
Carried forward
£846207
11
6