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

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Wandsworth 1890

[Report of the Medical Officer of Health for Westminster, The United Parishes of St. Margaret and St. John, Westminster]

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44
45
APPEN???X No. 10.

RECEIPTS and EXPENDITURE in respect of the SEWERS' RATE, and RATES over which the Vestry have no control.

Sewers Rate Account.Sewers Rate Account.
1890-1.£s.d.£s.d.1890-1.£s.d£s.d.
To balances brought forward on 26th March, 1890—???y Cash—Neave, J. H , sewerage works, under contract1,723145
Balance at Bank3363„ Neave, J. H., sewerage works in connection with "new street," Carlisle-place30176
Balance in Vestry clerk's hands to meet flushers' wages and drainage licenses1012
„ Public urinals, maintenance, etc., Whitehall convenience84880
-34615„ New urinal in Princes-street6765
To cash received on account of Rate3,03112„ Chelsea Water Works Company130133
„ Transferred from Deposit Account to Current Account20000„ Sundries4603
„ Deposits under drainage licenses1,034110„ Whitehall convenience, attendants' wages1000
„ Dividend on £631 11s. 7d., Barlow Bequest16188„ Wages of sewer flushers754136
„ Whitehall convenience (3 weeks)592„ Flushing sewers101168
„ Sundry receipts18126„ Clerk of Works, new sewer, Kensington440
4,30614„ Flushers' tools, etc., and repairs to same962
To balance overdrawn in respect of flushers' wages, licenses, etc.318Drainage Licenses.
„ Balances returned to licensees under drainage licenses41053
„ Neave, J. ii., sewerage works executed under licenses295311
4,43294
???alance at Bank, 25th March, 189122419
£4,6579£4,6579
General Rate for School Board Account.General Rate for School Board Account.
To cash received on account of Rate34,8835???y balance overdrawn96038
???mount of precept for the half-year to 29th September, 189014,951113
„ „ „ to 25th March, 189116,00846
???n respect of the Government Property in the parish2,585177
???alance at Bank, 25th March, 18913778
£34,8835£34,8835
Consolidated Rate Account.Consolidated Rate Account.
To balance brought forward on 26th March, 189025313By transfer to General Kate Account2979
To cash received on account of arrears of Rate43164
£2979£2979
Montpelier Square Rate Account.Montpelier Square Rate Account.
To cash received on account of Rate637By balance overdrawn36
By cash, amount of precept for the year 1890-916000
Balance at bank, 25th March, 1891009
£637£637
Library Rate Account.Library Rate Account.
To balance brought forward on 26th March, 18901141By amount paid to credit of Poor Rate117175
To cash received on account of arrears of Library Rate3163By balance transferred to General Rate Account00
£11717£11717

STATEMENT of LOANS raised for certain ???poses as shewn, and amounts outstanding at Lady-day, 1891.
Number and Date of
Loan.
By whom Loan advanced.
Purpose.
??? of Interest.
Amount of Loan.
Amount paid off.
Amount remaining
due.
???
s.
d.
£
s.
d.
£
s.
d.
£
s.
d.
6.-18 Dec., 1885
The Metropolitan Board of Works
Wood paving
???
10
0
7,000
0
0
5,834
0
0
1,166
0
0
7.-15 July, 1886
Ditto ditto

???
10
0
2,800
0
0
1,868
0
0
932
0
0
8.-15 „ 1886
Ditto ditto
Ashpalte
???
10
0
2,400
0
0
1,372
0
0
1,028
0
o
9.-31 Oct., 1887
Ditto ditto

???
10
0
6,000
0
0
2,572
0
0
3 428
n
o
10.-30 Dec., 1887
Ditto ditto
Wood paving
???
10
0
5,600
0
0
2,801
0
0
2,799
0
0
11.-22 Nov., 1889
The London County Council

???
10
0
1,300
0
0
260
0
0
1,040
o
0
12.-13 „ 1890
Ditto ditto
Asphalte
???
10
0
1,600
0
0
...
1 600
o
o
13.-15 Jan., 1891
Ditto ditto
Purchase of Wharf
and land, 167,
venor Road
???
10
0
6,000
0
0
...
6,000
0
0
£32,700
0
0
£14,707
0
0
£17,993
0
0
In addition to the amounts outstanding on account of Loans, the Vestry are liable in respect ???two Bonds dated 13th day of February, 1890, given under Seal to the Limmer Asphalte
Paving Company, each Bond to secure payment of £670 10s., payable respectively on the 1st ???ember, 1891, and the 1st December, 1892, with interest at 4½ per cent. per annum, payable
half, yearly.
E 2