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

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Lewisham 1883

[Report of the Medical Officer of Health for Lewisham]

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The detailed Statement of the Receipts and Expenditure of the Board fi e year ended 25th March, 1884, referred to in the foregoing Statement.

1883. RECEIPTS.PAYMENTS.
March 26.£s.d.£s.d.£s.
Cash balance in the hands of Treasurers (Current Account)3,14158
Ditto ditto Cashier7564
3,21612EWISHAM.£s.d.£s.d.£a.d.
LEW1SHAMGeneral Purposes Account-
General Purposes Account—Highways—Maintenance, &c. Materials4,835172
From the Local Guardians, in payment of Precepts for this Board's General Expenditure16,45000
Labourers and Carmen4,56126
Sundry Receipts for Repairs of Boundary Roads, County Bridges, and reinstatement of Roads and Paths broken up by Gas and Water Companies52520
Cartage (Hired Horses, &c.)1,21107
Board's Horses, maintenance of636197
Steam Road Roller39964
Ditto, for Sale of Manure, Road Scrapings, and for Hoard Licenses4090
Tar Paving repairs and sundry other Paving Works634112
Repairs to Carts, Tools, Sweeping Machines, and New Cart, &c., &c724117
Proportion of Receipts on Recreation Ground Account3114
Ditto, on Establishment Account (see Account annexed)188160Rent of Wharf, Shed, &c112103
17,20718413,115192
From the Local Guardians in payment of the Precept of the School Board for London11,28163Repair and maintenance of Boundary Roads318104
Instalments and Interest on Loans, and Income Tax199168
Rents, Rates, and Taxes4453
Vestry Expenses (viz., sums paid by the Board on request of the Vestry of Lewisham)17637
Proportion of Expenses on Recreation Ground Account2841610
Ditto on Establishment Account (see Account annexed)1,72372
15,862190
The School Board for London, under their Precept for Expenses charged on the Parish of Lewisham for 188311,28163
28,4894727,14453
General Purnoses Account. 159th Sec. M M. Act, 1855—General Purposes Account, 159th. Sec. M.M. Act, 1855—
From the Local Guardians in payment of Precept9,21500Instalments and Interest on Loans, and Income Tax4,976 128
Sundry Receipts for Watering Boundary Roads, Sale of Dust, &c., and contribution from Plumstead Board of Works towards cost of Concreting part of the River Quaggy393186Expenses of Dust Collecting1,623 132
Ditto Watering2,916 162
Watering Sydenham Hill (Boundary Road)101198
Sundry Improvements12331
Loan raised for Improvements10000Proportion of Expenses on Establishment Account (see Account annexed)1,04982
Proportion of Receipts on Establishment Account (see Account annexed)114194
9,8231710Lighting Account—10,7911211
Lighting Account—
From the Local Guardians in payment of Precept5,43100The Crystal Palace District Gas Co. for Gas for Street Lighting2,406108
Proportion of Receipts on Establishment Account (see Account annexed)59133
The South Metropolitan Gas Co. ditto2,371125
5,490133Sugg and Co. (New Lamps and Burners)2090
Williams, G. T120
Proportion of Expenses on Establishment Account (see Account annexed)544114
Sewerage Purposes Account—Sewerage Purposes Account—5,343155
From the Local Guardians in payment of Precept2,50300Instalments and Interest on Loans, and Income Tax1,411175
For Frontage Drains, &c.—Sundry receipts from Owners of property to be drained65210Sewers Cleansing and Repairs, Expenses of715169
Frontage Drains constructed at expense of Owners of property drained628210
Proportion of Receipts on Establishment Account (see Account annexed)28123
Cleansing and Maintaining Urinals and Surface Drainage Works197110
3,183133
Proportion of Expenses on Establishment Account (see Account annexed)26124
Sewers Construction (Loan Account)—Sewers Construction (Loan Account) —3,214104
Contributions from owners towards cost of Sewers constructed at private expense827Westbourne Road Sewer—New Works defrayed by Loan3787
827Clune House Sewer— ditto ditto253122
Dermody Road Sewer—Contribution by Owners paid to Mr. E. Phillips38140
Metropolitan Board of Works2117
33264
Carried forward£46,9951163,21612Carried forward£46,826103