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

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Rotherhithe 1897

[Report of the Medical Officer of Health for Rotherhithe]

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PAVING AND GENERAL PURPOSES ACCOUNT.

Liabilities and Expenditure.Assets and Receipts.
£s.d.£s.d.£s.d.£s.d.
Liabilities at Lady-day, 1897:-Assets at Lady-day, 1897:-
As recommended for payment by the Finance Committee580012Available Balance with the Treasurer on Current Account771132
Expendilure to Michaelmas, 1897:-The like on Deposit Account477000
Salaries of Officers—proportion74000
Collector's Poundage145001248132
Rent of Vestry Offices and Stone Yard, andProportion due to Sewers Account 560 0 8
Taxes on the latter, Mortuary and the Wharf11500
The like, Lighting Account 489 18 11
Loans—Principal 1030 0 0
Interest 825 0 01855001049 19 7
Principal and Interest on Loans yet to be taken up80000Capital Accounts:-
Erection of Town Hall, etc. 1721 17 4
School Board Precept600000
Maintenance of Trees1100Erection of Wharf, etc. 2132 19 1
Printing and Stationery—proportion17500
Disinfecting and cleansing250003854 16 5
Dusting Contract32000
Dust Pails, Renewals, etc.2500Amount payable out of Capital Accounts 828 18 4
Barging Contract—proportion40000
Expenses of Valuation Committee2500
Balance of Mortuary Contract25003025 18 1
Erection of Temporary Shelter330004075178840556
Wages of Roadmen 1100 0 0
,, Masons, etc. 1125 0 0Receipts to Michaelmas, 1897:—
„ Labour at Wharf 120 0 0Amount receivable from the Equalisation Fund130000
,, Steam Roller 40 0 0Contributions to be received from the London County Council:—
238500
Casual Labour5000Rotherhithe Street (by Bull Head Dock) Improvement14300
Permanent Sick Pay and Holidays18100
Paving Works, Rotherhithe Street, (Silver Street, to Cow Lane) 225 0 0Moiety of Salaries of Sanitary Inspectors1650030800
Paving Works, Ainsty Street. 180 0 0
„ Aylton Street 20 0 01001356
,, Town Hall 130 0 0
,, Galleywall Road 75 0 0
,, Plough Road 145 0 0
„ South Wharf 25 0 0
80000
Redressing Setts15000
Waterproof Coats, etc.2000
Slopping, Cartage, Horse Hire, etc.80000
Flagstones10000
Ballast, Lime and Cement25000
Setts and Kerb10000
Broken Granite60000
Street Watering45000
Maintenance of Town Hall5000
Furniture for Public Hall35000
New Vans for Wharf45000
Lamp Columns, etc., Town Hall7500
Contingencies250001827700Estimated amount required for the Half-year to Michaelmas, 189714063158
£2407712£2407712
SEWERS ACCOUNT.
£s.d.£s.d.£8.d.
Liabilities at Lady-day, 1897:—Assets at Lady-day, 1897:-
As recommended for payment by the Finance Committee246120Proportion of available Balance with the Treasurer on Current Account56008
Expenditure to Michaelmas, 1897:—
Salaries of Officers (proportion)26000
Collector's Poundage3000
Printing and Stationery (proportion)4000
Maintenance of Urinals by Vestry of Bermondsey5000
Wages40000
Holidays, Sewer Men1500
General Works and Repairs20000
Cartage, Flushing and Cleansing Gullies and Sewers12500
Barging Contract (proportion)5000
New Flushing Van4000
Water for Urinals6000
Manhole Covers and Ironwork3000
Disinfectants2500
Contingencies5000137500Estimated amount required for the Half-year to Michaelmas, 18971061114
£1621120£1621120
LIGHTING ACCOUNT.
£s.d.£s.d.£s.d.
Liabilities at Lady-day, 1897:—Assets at Lady-day, 1897:—
As recommended for payment by the Finance Committee4681010Proportion of available Balance with the Treasurer on Current Account4891811
Expenditure to Michaelmas, 1897:-
Salaries of Officers (proportion)12000
Collector's Poundage2500
Gas for Public Lamps, etc.85000
Contingencies2500102000Estimated amount required for the Half-year to Michaelmas, 18979981111
£14881010£14881010