[Report of the Medical Officer of Health for Lewisham].
- Lewisham (London, England). Board of Works.
- Date:
- 1890
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
32/100
![5 4 An Account in Abstract of the Receipts and Expendit ??? the Board for the year ended 25th March, 1890. RECEIPTS. £ s. d. £ s. d. £ ??? SHAM. PAYMENTS. 1889 March 25. Cash balance in the hands of the Treasurers 9,413 11 3 General Purposes — £ s. d. £ s. d. £ s. d. For this Board's General Expenditure 30,995 16 5 Ditto ditto Cashier 378 14 b For the School Board for London 17,522 1 4 9,792 5 8 48,517 17 9 Ditto ditto Treasurers (New Streets) 861 6 5 Lighting 5,771 16 4 10,653 1 Sewerage Purposes 2,936 6 7 LEWISHAM. Sewers Construction (Loan Account) 513 6 3 General Purposes— Private Works 114 4 3 For this Board's General Expenditure 28,985 6 3 Bromley Road Sewer 557 6 0 For the School Board for London 17,522 1 4 Kerbing and Channelling—Paving (Loan Account) 438 0 6 46,507 7 7 Tar Paving (Loan Account) 58 14 3 Lighting 5,615 3 0 The Metropolitan Consolidated Rate—To the London County Council for the late Metrop. Board of Works 4,916 13 4 Sewerage Purposes 3,039 7 4 Sewers Construction (Loan Account) 430 0 0 Relief from Floods (Surface Drainage) 400 13 4 Private Works 50 3 7 64,224 18 7 Kerbing and Channelling—Paving (Loan Account) 650 0 0 The Metropolitan Consolidated Rate—For the Metropolitan Board of Works 4,916 13 4 61,208 ??? PENGE. ,! ??? General Purposes— General Purposes— For this Board's General Expenditure 7,298 11 11 For this Board's General Expenditure 9,118 0 10 For the School Board for London 5.910 13 3 For the School Board for London 5,607 14 9 13,209 5 2 14,725 15 7 Lighting 1,523 7 3 Lighting 1,383 3 0 Sewerage Purposes 691 11 4 Sewerage Purposes 852 2 0 Sewers Construction (Loan Account) 170 0 0 Sewers Construction (Loan Account) 120 18 9 Private Works 152 12 0 Private Works 107 7 3 Kerbing and Channelling—Paving (Loan Account) 450 0 0 Kerbing and Channelling—Paving (Loan Account) 595 8 9 16,196 15 Tar Paving 14 12 8 £ The Metropolitan Consolidated Rate—To the London County Council for the late Metrop. Board of Works 1,597 10 7 Relief from Floods (Surface Drainage) 1,540 12 7 20,937 11 2 r WHOLE DISTRICT. Recreation Ground, Penge (Laying-out and Forming) 125 4 4 85,287 14 1 Balance 2,771 8 7 88,059 2 £88,059 2 8 NEW STREETS. ] STREETS 1889. March 25. Cash balance in the hands of Treasurers 4,291 5 Lewisham 7,521 14 3 Pange 787 5 1 Lewisham 6,827 0 6 8,308 19 4 Penge 525 7 9 New Streets 2,596 6 7,352 8 Balances Current Account 738 11 5 3,334 13 11 £11,643 13 £11,643 13 3 SUMMARAMCES General 2,771 8 Balance in hands of the Treasurers 5,762 13 3 New Streets 3,334 13 Ditto in Hand of Cashier 296 10 7 Ditto ditto (New Streets) 46 18 8 343 9 3 £26,106 2 £6,106 2 6 HENRY P. HALL, Book-keeper. 1 EDWD. WRIGHT, Clerk to the Board. We, the undersigned, being the Auditors elected by the Board, have caused to be prepared, ??? dow the above Account in abstract of the Receipts and Payments of the Board for the year ended 25th day of March 1890. MAGNUS OHREN, 6th May, 1890. JAS. WEBB, Auditors. DAVID L. GOOCH,](https://iiif.wellcomecollection.org/image/b19954621_0032.jp2/full/800%2C/0/default.jpg)