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

View report page

St Giles (Camberwell) 1886

[Report of the Medical Officer of Health for Camberwell]

This page requires JavaScript

176
177

GENERAL RATE.

Dr. Receipts.Expenditure. Cr.
£s.d£s.d.£s.d.
To Cash Balance, March 26th, 1886, as per last Annual Report (page 155)7.039111MATERIALS. By Cash to Contractors6,670117
„ Overseers, Order of Vestry, 188678,75000
INTEREST ON DEPOSIT ACCOUNT. To Cash40710SLOPPING AND WATERING. By Cash, Working Expenses (including £5,868 for labour)11,780120
RENT ACCOUNT. To Cash17100„ Works Account95211
„ Plant Account46686
REPAIRS TO ROADS AFTER OPENING TRENCHES. To Cash56018212,34235
GLENGALL WHARF. By Cash, Moiety of Rent, &c.90136
DEPOSITS ON SCAFFOLD, &c. LICENSES. To Cash123100
SUNDRY ACCOUNTS. To Cash338184PARISH ROADS. By Cash2,19008
SALE OF ROAD SWEEPINGS, MANURE, &c. To Cash4726LONDON SCHOOL BOARD. By Cash, Amount of Precept, dated 9th April, 188635,34742
DEPOSITS WITH TENDERS. To Cash29000INCIDENTAL ACCOUNTS. By Cash56748
REPAIRS TO ROADS. To Cash18653
Carried forward£87,393140Carried forward£58,207180