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

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St Giles (Camberwell) 1890

[Report of the Medical Officer of Health for Camberwell]

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334
335

GENERAL RATE.

Dr. Receipts.Expenditure. Cr.
£s.d.£s.d.£s.d.
To Cash Balance, March 26th, 1890, as per last Annual Report (page 281)8,091123MATERIALS.
By Cash to Contractors7,439105
OVERSEERS.
To order of Vestry, 189087,50000SLOPPING AND WATERING.
INTEREST ON DEPOSIT ACCOUNT.By Cash, Working Expenses (including £13,858 for Labour and £2,548 8s. 9d. for Removal of Street Refuse by barge, &c.)23,451180
To Cash14443
RENT ACCOUNT (Park Road Cottage and 80, Henslowe Road).
,, Cash, Works Account (for Repairs to Depots, &c.)18990
To Cash3528„ Cash, Plant Account (for Horses, Tricyles, Steam Roller, &c., &c.)1,65933
REPAIRS TO ROADS AFTER OPENING TRENCHES.
To Cash845101GLENGALL WHARF.
DEPOSITS ON SCAFFOLD, &c. LICENSES.By Cash, Moiety of Rent, &c.9643
-25,396146
To Cash22300PARISH ROADS.
SUNDRY ACCOUNTS.157By Cash1,84017
To Cash3491310
SALE OF MANURE.LONDON SCHOOL BOARD.
To Cash4606By Cash, Amount of Precept, dated 3rd January, 189022,191152
DEPOSITS WITH TENDERS.By do. do. 3rd July, 189023,7441610
To Cash1900045,936120
REPAIRS TO ROADS.INCIDENTAL ACCOUNTS.
To Cash518By Cash60988
Carried forward£97,43053Carried forward£81,22272