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Shoreditch 1891

[Report of the Medical Officer of Health for Shoreditch, Parish of St. Leonard]

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STATEMENT shewing the DEBT outstanding on the ACCOUNTS of the VESTRY of the Parish of ST. LEONARD, SHOREDITCH (COUNTY OF LONDON), and the Amount of

PRINCIPAL AND INIEREST charged in the Accounts for the ended 25th March, 1892.

Purpose of Loan. 1No. of Mortgage. 2When Borrowed.Period within which to be repaid. 4Original Loan. 5Repaid. 6Balance of Loan outstanding, 25th March, 1892. 7Interest.Present Annual Instalment.Charged in Accounts.
3Rate Per Cent. 8When Payable. 9Amount. 10Date of Repayment. 11Principal. 12Interest. 13Folio.
GENERAL RATE ACCOUNT.Years££s.d.£s.d.£s.d.£s.d.£s.d.
Erection of Town Hall105 Sept.,18653010,0008,6661341,333685Half-yearly3336813September333087326
do.1121 Nov.,1865304,0003,466134533685do.1336829November1336882100
do.126 Feb.,1866304,0003,466134533685do.133687February1336832100
do.139 Oct.,1866304,0003,333686661345do.1336810October133683900
do.1429 Jan.,1867306,0005,000001,000005do.2000030January2000058100
28,00023,933684,066134933689336823512676
Paving Works2024 Mar.,1877205,0003,750001,250003 ¾Quarterly250001October250005318
do.2123 June,1877205,0003,685001,31500do. '263001October26300561411
do.231 Oct.,1877205,0003,500001,50000do.250001October25000635lb
do.3119 Feb.,1892152,9002,90000do.194001January
Street Improvements & do.26I April,1879156,0004,800001,20000do.400001April ...4000048150
do.271 July,1879156,0004,800001,20000do.400001J uly ...4U00052100
29,90020,535009,365001,757001,56800275210*76
Sun Street to Worship Street (Appold Street, Improvement)2231 July,18775240,00010,7780029,22200do.769001October769001,11791\
†251 Oct.,18785115,00014,48916510186do.14001October14001910111
55,00025,2671629,73218678300783001,1370Of76
Goldsmith Square, Open Space2931 Oct.,1891492,0002,00000do.400031October1710076
Dusting and Scavenging— Buildings3031 Oct.,1891301,7001,70000do.56001October102li
Plant, Machinery, &c3031 Oct.,189154,3004,30000do.860001October25113 i=r
6,0006,00000916003513576
SEWERS RATE ACCOUNT. Construction of New Sewers2419 Feb.,1878304,0001,872002,12800do.133001October1330083101191
Total£124,90071,6078253,2921110£4,56268£3,412681,78499
Note.—† Mortgage No. 25. The annual instalment was reduced by agreement with the Metropolitan Board of Works to £14 from 1st October, 1888, [in consideration of the allocation of certain proceeds of Surplus Lands, Interest, &c., arising from the Works of Improvement, pursuant to Act 39 and 40 Vict., cap. 1xxix. (27th June, 1876).]General Rate Account3,279681,700181076
Sewers do1330083101191
£3,412681,78499