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

View report page

St Giles (Camberwell) 1878

[Report of the Medical Officer of Health for Camberwell]

This page requires JavaScript

116
117

GENERAL RATE.

Dr.Cr.
Receipts.Expenditure.
£sd£sd
To Cash Balance, March 26td, 1878, as per last Annual Report (page 97)3,7128£Sd£sd
NEW ROADS.
,, Overseers, Order of Vestry, 187850,00000By Cash to Contractors for making New
„ Do. Excess of Levy to March 25th, 18782,51237Roads21,5401510
INTEREST.52,51237NEW ROADS.
To Cash Interest on Deposit Account52192By Cash returned to Owners, being the difference between the Apportioned and Actual Cost38874
RENT ACCOUNT.
To Cash1840„ Returned Cheque (Bowles)11809
50681
NEW ROADS.MATERIALS.
To Cash of Owners21,39754By Cash to Contractors9,50342
„ Costs350
21,400104SLOPPING and WATERING, Works Account.
REPAIRS to ROADS after OPENING TRENCHES.
By Cash219111
To Cash690122SLOPPING and WATERING, Working Expenses.
SCAFFOLD LICENSES.
To Cash on Deposit109110By Cash5,22016
SUNDRY ACCOUNTS.SLOPPING and WATERING, Plant Account.
To Cash59590
REPAIRS to ROADS.By Cash1,929156
To Cash117
Carried forward79,0921811½Carried forward38,91970