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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14
The Establishment Expenses Account referred to.

The detailed Statement of the Receipts and Expenditure of the Board for the year ended 25th March, 1884, referred tointhe foregoing Statement—Continued.

RECEIPTS—Continued.PAYMENTS-Continued.
PENGE—Continued.£s.d.£s.d.£s.dENGE—Continued.£s.d.£s.d.£s.d.
Brought forward13,05416364,102111Brought forward13,4972660,018196
Sewerage Purposes Account—Sewerage Purposes Account —
From the Overseers in payment of this Board's Precept59800Instalments and Interest op Loans, and Income Tax61958
Sewers Cleansing and Repairs, Expenses of20262
For Frontage Drains—Constructed at the expense of Owners of property drained119142Frontage Drains constructed at expense of Owners of property drained11198
Proportion of Receipts on Establishment Account—Cleansing and Maintaining Urinals and Surface Drainage Works91710
(See Account annexed)1646I
733188Proportion of Expenses on Establishment Account (see Account annexed)1551710
Sewers Construction Account-
1,098172
Sewers Construction Account—
Nil.Winnett, H. S.—Costs of Agreement with Becken-ham Local Board13183
Private Works Account—(Works undertaken at Cost of Owners of property)—Private Works Account —(Works undertaken at Cost of Owners of Property)—
Nil.Sundry Works11489
Kerbing and Channelling—Paving (Loan Account)— Loan from the Metropolitan Board of Works20000Kerbing and Channelling—Paving (Loan Account)—
Messrs. Beevers and Messrs. Mowlem and Co19318
Tar Paving—(Loan Account) —Metropolitan Board of Works110
19428
Tar Paving (Loan Account)—
Nil.Sundry Works89109
Metropolitan Consolidated Rate Account-Metropolitan Consolidated Rate Account—
Receipt from the Overseers for the Precept of the Metropolitan Board of Works4,0761210The Metropolitan Board of Works, under their Precept4,0761210
18,0657919,0841211
THE WHOLE DISTRICT.HOLE DISTRICT.
Nil.For Works for the Relief from Floods occasioned by the overflow of the Rivers Ravensbourne and Quaggy1646
BALANCE3,047129
£82,16798£82,16798
NEW STREETS—(Streets Paved and Formed at Expense of Owners of property therein).
1883.Lewisham—Payments to Contractors and others in respect of sundry New Streets4,542109
March 26. Cash balance in the hands of the Treasurers (Current Account)4,468169
Lewisham Receipts from owners in sundry New Streets4,594168Penge- „ „ „ „ „1,08105
Penge— „ „ „ „3,312435,623112
7,907011BalancesNew Streets4,803611
£12,375178Current Account1,948197
6,75266
£12,375178
General3,047129SUMMARYLANCES.
9 75908
New streets and current account6,75266Ditto Cashier3558
9,799193Ditto ditto (New Street surpluses)51211
40187
£19,7991939,799193
£9,799193