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

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Limehouse 1858

[Report of the Medical Officer of Health for Limehouse]

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No. 3.

SEWERS ACCOUNT.

Revenue and Outlay from Lady-day, 1858, to Lady-day, 1850.

OUTLAY.REVENUE.
£s.d.£s.d.
By payment to Metropolitan Board, amount of precept1,33082To Balance brought forward539121
„ New sewers123134„ Cash received of overseers of the parishes in the district upon orders of contribution2,03082
„ Sewers construction322144
„ Openings25149m „ Ditto to meet orders of Metropolitan Board975011
„ Repairs, &c.1977„ Ditto of overseers of the parish in the district upon excess of sewer rate193140
„ Cleansing, and cleansing cesspools6215
„ Incidental works36105„ Ditto for contribution to sewers20604
„ Improvement works1519„ Interest on Deposit Account1158
„ Hushing sewers and cleansing gullies203166„ Limehouse Fields Special Sewers, amount debited to Limehouse last year, now charged to Special Sewers Account20000
„ Carting deposit1790
„ Establishment charges58712
„ Interest on charges on Rates16711
„ Compensation100
„ Law charges6500
„ Limehouse Fields Special Sewers, amount received from Regent's Canal Company, and credited to Limehouse last year15000
„ Balance1,033310
£4,116112£4,146112
SEWERS LOAN ACCOUNT.
£s.d.£s.d.
By Amount expended in construction of new sewers in Limehouse Fields1,27200To Amount borrowed from General Annuity Endowment Association3,00000
„ Balance unxepended at Lady-day
In Treasurer's hands,£72800
At deposit1,00000
1,72800
£3,00000£3,00000