[Report of the Medical Officer of Health for Lewisham].
- Lewisham (London, England). Board of Works.
- Date:
- 1877
Licence: Attribution-NonCommercial 4.0 International (CC BY-NC 4.0)
Credit: [Report of the Medical Officer of Health for Lewisham]. Source: Wellcome Collection.
Provider: City of London, London Metropolitan Archives
8/88
![2 3 The Board of Works for Lewisham District. Statement of the Receipts and Expenditure of [???] during the year ended 25th March, 1877. Of which detailed particular [???]ised in the Schedules referred to. RECEIPTS. PAYMENTS. 1876 March 26. £ s. d. £ LEWISHAM. £ s. d. £ s. d. Cash balance in the hands of the Treasurers (Current account) 6562 19 6 General Purposes (schedule A)— For this Board's Expenditure £12533 8 9 Ditto Book-keeper 246 15 9 For the School Board for London 5647 2 7 6809 18180 11 4 LEWISHAM. General Purposes, 159th Sec. Metropolis Management Act, 1855 (Schedule B) 14481 12 4 General Purposes (Schedule A)— Lighting (Schedule C) 5069 6 7 For this Board's Expenditure £8783 3 6 Sewerage Purposes (Schedule D) 2671 19 7 For the School Board for London 5647 2 7 Sewers Construction (Schedule E) 85 8 9 14430 6 1 Kerbing and Channelling Paving (Schedule F) 3027 19 7 General Purposes 159th Sec. Metropolis Management Management Act, 1855 (Schedule B) 12501 0 6 Asphalte and Concrete ditto (Schedule F) 6584 10 9 Tar Paving (Schedule F) 250 16 1 Lighting (Schedule C) 4822 10 0 New Streets (Schedule G) 388 18 2 Sewerage Construction (Schedule D) 2738 13 9 Private Works (Schedule H) 64 0 0 Sewers Construction (Schedule E) 559 17 7 The Metropolitan Consolidated Rate For the Metro politan Board of Works 6072 10 7 Kerbing and Channelling—Paving (Loans) (Schedule F) 3453 0 0 Asphalte and Concrete ditto (Schedule F) 4574 0 0 56877 13 9 New Streets (Schedule G) 4400 5 7 PENGE. Private Works (Schedule H) 114 6 3 General Purposes (Schedule A)— The Metropolitan Consolidated Rate—For the Metro politan Board of Works 6072 10 7 For this Board's Expenditure £6991 14 11 For the School Board for London 2461 4 5 53666 9452 19 4 PENGE. Lighting (Schedule C) 1485 17 4 Sewerage Purposes (Schedule D) 1719 15 8 General Purposes (Schedule A)— Sewers Construction (Schedule E) 691 6 2 For this Board's Expenditure £7439 10 3 Kerbing and Channelling—Paving (Schedule F) 2846 3 10 For the School Board for London 2461 4 5 Tar Paving (Schedule F) 410 12 8 9900 14 8 New Streets (Schedule G) 1699 4 9 Lighting (Schedule C) 1444 0 0 Private Works (Schedule H) 94 12 9 Sewerage Purposes (Schedule D) 1590 8 6 The Metropolitan Consolidated Rate—For the Metro politan Board of Works 2477 13 5 Sewers Construction (Schedule E) 2183 8 3 New Streets (Schedule G) 3257 8 11 20878 5 11 Kerbing and Channelling—Paving (Loan) (Schedule F) 1864 0 0 New Offices 1854 5 6 Tar Paving (Loan) (Schedule F) 1153 0 0 Ditto Stabing 1899 14 11 The Metropolitan Consolidated Rate—For the Metro litan Board of Works 2477 13 5 3754 0 5 23870 1 [???] 25. New Offices 1000 0 0 *Cash Balance in the hands of the Treasurers (Current account) 6103 8 3 Ditto Stabling 2500 0 0 3500 Ditto ditto Book-keeper 233 10 3 Total £87,846 [???] 6336 18 6 Total £87,846 18 7 GEO. BEAVIS, Book-keeper. 1 J SAML. EDWARDS, Clerk to the Board. In addition to the above Balance there is a sum of £1,113 12s. 6d. on deposit with the London Westminster Bank, in the names of Messrs. Brooker, Clutton, and Griffin, as Trustees of the for the Penge Gravel Allotment Fund (see Note to Schedule J., part 1), being the sum of [???]3s. 7d., mentioned in the Statement of Receipts and Expenditure for the year ended 25th March, with £9 18s. 11d. Interest thereon, and £100 and £86 additions thereto. We the undersigned, being the Auditors elected by the Board, have caused to be prepared, and do allow Account in abstract of the Receipts and payments of the Board for the year ended 25th March, 1877. May 15th, 1877. H. CRISTALL,} HENRY REID, } Auditors. C. B. MILLER, }](https://iiif.wellcomecollection.org/image/b19954499_0008.jp2/full/800%2C/0/default.jpg)


