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

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St Giles (Camberwell) 1881

[Report of the Medical Officer of Health for Camberwell]

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142
143
GENERAL RATE.
Dr.
Cr.
Receipts.
Expenditure.
£
s
d
£
a
d
£
s
d
£
s
d
To Cash Balance, March 26th, 1881 as per
last Annual Report (page 137) ..
28,759
15
9
NEW ROADS.
By Cash to Contractors, &c.
25,195
19
0
,, Overseers, Order of Vestry, 1881
66,000
0
0
„ do. returned to Owners, being the difference
between the Apportioned and
Actual Cost
1,426
1
3
INTEREST ON DEPOSIT ACCOUNT
To Cash
333
6
2
MATERIALS.
RENT ACCOUNT.
By Cash to Contractors
4,962
18
11
To Cash ..
18
18
0
SLOPPING and WATERING.
NEW ROADS.
By Cash Working Expenses
6,617
17
0
To Cash of Owners
24,642
8
10
,, do. Labour
4,440
0
0
,, do. (Costs) ..
6
7
0
,, do. Works Account
96
5
9
-
24,648
15
10
„ do. Plant Account
991
15
3
12,145
18
0
REPAIRS to ROADS after OPENING
TRENCHES.
To Cash
738
19
4
DEPOSITS ON SCAFFOLD, &c.
LICENSES.
To Cash
171
0
0
SUNDRY ACCOUNTS.
To Cash
716
6
8
REPAIRS to ROADS.
To Cash
72
9
0
Carried forward
111,459
9
9
Carried forward
43,730
17
2