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

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Lewisham 1894

[Report of the Medical Officer of Health for Limehouse]

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12
13
No.6. PARISH OF LIMEHOUSE ??? ENERAL PURPOSES ACCOUNT.
Revenu and Outlay from Lady-day , 1894, Lady-day, 1895
REVENUE
OUTLAY
£
s.
d.
£
s.
d.
Paving
1539
15
5
Balance
972
7
2
Lighting
1359
19
9
To Cash of Overseers upon Orders of Contribution
8468
16
???
Cleansing, Watering &c.
3926
4
10
„ Ditto for Precept of School Board for London
5794
13
4
Repairs to Macadam Roads
468
8
5
Urinals
76
12
1
„ London County Council- Proprtion of Amount of Contribution
towards the Maintenance of Disturnpiked Roads
790
16
???
Expenses under Adulteration of Food Act.
70
6
7
Disinfecting
277
2
7
„ London County Council-Proporition of Moiety of Salaries of
Sanitary officers for Year ending Michaclmas,1894
69
2
1
Superannuation
22
13
1
Expenses of Mortuary
22
1
4
Expenses under Public Health Act (Notification of Infectious
Diseaese)
30
8
6
„ Reinstatements of Paving
323
11
1
Exection and Repairs to Hoardings
3
1
11
„ Rents
14
13
Limewhiting Courts and Alleys
17
4
8
„ Metropolitan Awlums Board-For Copies of Certificates under Public
Health Act
32
3
Expenses of Prococdings at Police Court
3
12
2
Writing Street Name
1
10
6
Narrow Street Improvement
239
11
0
„ Fines recovered
13
4
???
Repairs to Bridge, &c.
6
18
4
Distributing Water
48
4
9
„ Registration of Canal Boats
0
10
1
Income Tax
1
1
4
„ Miscellaneous Receipts
10
14
???
Repairs to Property
5
12
6
Sundries
1
3
1
„ Interest on Current Account
15
19
???
School Board Election
42
17
2
„ Ditto on Deposit Account
3
15
Establishment Charges
897
3
2
Charges on Rates:
Interest
212
5
11
Principal Repaid
409
6
5
621
12
4
School Board for London
5794
13
6
Balance
1032
6
9
£16510
8
£16,510
8
9
We hereby certify that we have Examined and allowed the Accounts of which
this Account is an Abstract.
??? this 9th day of July. 1895.
John Capes,
Samuel Moyse,
Auditors.

No. 3. BOARD OF WORKS FOR THE LIMEHOUSE DISTRICT.

Revenue and Outlay for Lady-Day, 1894, Lady-day, 1895.

REVENUEOUTLAY
£s.d.£s.£s.d.£s.d.
Balance3,25110Cash expended on General Purposes22,50137
To Cash of (he several Parishes upon Orders of Contribution:Ditto ditto Sewwe2,68766
2.93801
General Purposes19,634100School Board for London13,290127
Sewer »« • •'.77®
>M>*to )
„ Cash to meet Precepts of School Board for London13,29012Balance in hands of Treasurer2,6171011
„ Revenue from other sourced:- General Purposes1.105910Ditto Deposit Account70500
Ditto Equalization of Rate Account1,77215
Sewer „85910Ditto to hands of Clark1134
1,19319
London County Council Amount of Contribution towards cost of maintenance of main roads for the year ending Lady-day, 18941,4100Ditto ditto Surveyor51510
5,10.16
„ London County Council-Grant under the London (Equalization of Rates) Act, 1894, to March 31st, 18951,772
£43.33014£43,330142